AP Invoice Aging Report for past date

hi guys,
I am running R12.
my requirement is to run AP invoice aging report for past dates (same like AP Trial Balance Report), but the seeded invoice aging report has no option to do so.
would appreciate some help
thanks in advance
Ravi

Hi Senthil,
I am running R12.
my requirement is to run AP invoice aging report for past dates (same like AP Trial Balance Report
if u have any solution to this , please suggest me how to resolve this requierement.
thanks in advance
Ravi
mail:[email protected]

Similar Messages

  • AP Invoice Aging Report by GL Date (using: Accounts Payable Trial Balance)

    Hi
    Need some suggestions:
    I need to develop a custom report in (R12).
    Account Payable Trial Balance Report, does have the capability to run as of a particular date but it does not show aging buckets. This custom report is to be developed to meet the requirements from a Payables detail perspective as well as to reconcile.
    The report should show the balance due as of the report date selected. If As of Date = 5/31/11, then when the report is run on 6/15/11, it gives the results as it existed on 5/31/11. If we run it again on 8/31/11 for As of Date = 5/31/11, and again on 1/13/12, we get the EXACT SAME results each and every time except for the following fields: Current Status, Date Paid and Payment Reference Number.
    The end result should be this report ties to the penny to Oracle GL as of the date selected EXCEPT for any JEs posted to the account.
    Thanks
    Pravin

    Hi Pravin,
    For all transactions in Oracle, you will have GL dates (Accounting Dates) associated to it. If you use this date in your query to filter data, then you will get correct aging data as on a given date.
    To tally with GL, you also must check if the selected transaction has been accounted?
    Raajkumar G

  • Aging report for Open Invoice

    Hi All,
    I need to develop an Aging report for open invoice, there is no indication for open invoice or close invoice since we are using customise DS and DS from third party system. only one key flag we have is clearing date. so kindly let me know how to write the logic for this requirement.. can I use Customer exit for this? I have an Idea to do like
    first logic is
    *If Clearing date = blank than invoice is = open (by using of this logic we can get all open invoice).
    second logic
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    but I do not know how to implement this logic in BEx hnece kinnly advice me whether this logic can be work or suggest with different solution ples..
    Regards,

    hi,
    You can  check few default PO reports wid proper paramater in it
    or
    Can check table EKBE
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    Check PO history in the PO doc
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    Priyanka.P

  • New Parameter As Of Date (Period) In Invoice Aging Report   Doc ID:752120.1

    Hi Hussein,
    EBS R12 (12.0.6)
    Rhel 4.6
    How do I apply this kind of patch?
    Solution
    This is Enhancement Request 70091
    ADD PARAMETER TO RUN INVOICE AGING REPORT AS OF A CERTAIN DATE
    Thanks a lot

    Hi,
    Looks like the patch is not released yet. Please log a SR to confirm this with Oracle Support.
    Regards,
    Hussein

  • Need to convert AP Invoice Aging Report in Excel format

    Hi,
    Need to convert AP Invoice Aging Report in excel format..there was an existing Invoice Aging report in AP and that was in paper format. That we need to convert to rtf template..
    There was an other concurrent program called 'Invoice Aging Report (XML) - Reserveed for future use', when i am using that rtf template..to get the report output it was taking more than 1 hr time.
    1)Is there any way/patch to get that XML report to be used in 12.1.3 EBS version
    2) is there any other way to get the report output faster.
    Thanks..

    Hi,
    When submitting the request, you may change the output to Excel and get the output in Excel. Otherwise as you mention if you getting the output in text format, you may download the text format and open the document in excel and use the delimitation to format in excel as per your requirement.
    1)Is there any way/patch to get that XML report to be used in 12.1.3 EBS version
    2) is there any other way to get the report output faster.
    Is your statistics up to date, when did you last run gather schema statistics program in Sysadmin responsibility.
    Also what is the record quantity that you are expecting here? Is date range parameter available in the report and if yes, did you try running the report for a day to check the output.
    Thanks &
    Best Regards,

  • Vendor ageing report for down payment bucketwise

    Hi
    I have paid many downpayment to various vendors. Now i want the ageing report for the same (i.e. bucket wise i.e. 0-30 days, 31-60 days and so on).
    This i am getting for vendor invoices in TCode: S_ALR_87012085 (Vendor payment history with OI sorted list).
    Please let me know if the bucketwise report is possible for the downpayment too.

    Hi,
    Vendor ageing for down payments as well as invoice i use to see from T.code FBL1N by creating layouts.
    Choose Arreas after net due date from layout and for that column you can apply a rule that from 0 to Lessthan or equal to 30.
    Like that you can create the layouts. In FBL1N you can give this layout (down) so information come in that format.
    The one disadvantage is that you have to select manually the layouts and you can see only one ageing information at a time.
    Regards,
    Sankar

  • Ap --Invoice Aging Report    aging period 0-360 periods

    we need to increase the aging report by 0-360 here i am diving like
    0-30 31-60 61-90 91-120 121-150 151-180 181-210 211-240 241-270 271-300 301-330 331-360
    The standard layout prints only 4 periods , we want to print all the above periods in output.
    1st i have created one test aging period.
    0-30 31-60 61-90 91-120 121-150 151-180 for testing i created this aging period and once i run **the standard report its displaying upto 61-90 the rest are not printing.**
    because standard report layout has only four periods. are those periods won't be incremented by our AGING PERIODS given in priod given.
    what i have to do for this. does the report will not print automatically the period given.
    how to print my given aging period 0 -150 .
    if the standard one report i need customize then what are the process steps in report builder and how to add extra aging period to standard layout.
    Please provide the usefull links for all
    suggestions are greate help
    thanks
    koteshwar

    Hi Koteshwar,
    the report will not display aging periods beyond 4 buckets which is the intended functionality as per
    below oracle reference:
    System Should Allow More Then Four Bucket in Invoice Aging Report [ID 1298644.1]
    However, you are create your own report or make a copy of this report and perform modification. For performing this activity, you need a dedicated report developer .............
    Regards,
    Ivruksha

  • Can using query create aging report for GL Account

    Hi all expert,
    I have a challenge scenario which customer request print out aging report for the following GL Account.
    This is not a business partner account. However, customer want display like aging report.
    30 days aging report for the following GL accounts by projects:-
         i)     WIP (Work In Progress) account
         ii)     Accrued Revenue account
         iii)     Accrued Cost account
    Examples:
                            Current Balance       30 day   60 day  90 day   120 day
    Account  WIP         10000               2000        3000      5000     0
    Any idea or example given? If yes, can you provide a query here?
    Regards,
    Eric Tan

    Hi Eric
    In standard SAP Business One this is difficult as the reports are 2 dimensional. To achieve this you will need to write multiple select statements into a temporary table and then select the final result from the temp table. Here is a sample for you to test:
    USE [*DATABASE_NAME*]
    GO
    /****** Object:  StoredProcedure [dbo].[REPORT_NAME]    Script Date: 04/24/2009 13:17:21 ******/
    SET ANSI_NULLS ON
    GO
    SET QUOTED_IDENTIFIER ON
    GO
    CREATE proc [dbo].[*REPORT_NAME*]
    as
    set nocount on
    begin
    DECLARE @Day_no varchar(2)
    DECLARE @Month_no varchar(2)
    DECLARE @Year_no varchar(4)
    DECLARE @Start_Date Datetime
    SET @Day_no = DAY(GetDate())
    SET @Month_no = MONTH(GetDate())
    SET @Year_no = YEAR(GetDate())
    SET @Start_Date = @Year_No + '/' + @Month_no + '/' + @Day_no --  + '/' + @Year_No
    IF OBJECT_ID(N'tempdb..#CRDAGEING', N'U') IS NOT NULL
    drop table #CRDAGEING
    SELECT T0.[CardCode] AS [CardCode], T0.[CardName] AS [CardName], -T0.[Balance] AS [Balance], CAST(0 AS MONEY) AS [Current], CAST(0 AS MONEY) AS [1Week], CAST(0 AS MONEY) AS [2Weeks], CAST(0 AS MONEY) AS [3Weeks], CAST(0 AS MONEY) AS [4Weeks], CAST(0 AS MONEY) AS [5Weeks], CAST(0 AS MONEY) AS [6Weeks], CAST(0 AS MONEY) AS [Over6Weeks], CAST(0 AS MONEY) AS [Avg3Months], CAST (0 AS MONEY) AS [Onhand] INTO #CRDAGEING FROM OCRD T0 WHERE T0.[CardType] = 'S' -- and T0.[CardCode] <> '' --and T0.[DocDate] >= @FromDate AND T0.[DocDate] <= @ToDate
    INSERT dbo.#CRDAGEING SELECT T1.[ShortName], NULL, 0, -SUM(T1.[BalDueDeb] - T1.[BalDueCred]), 0, 0, 0, 0, 0, 0, 0, 0, 0 FROM JDT1 T1, OCRD T2 WHERE T2.[CardType] = 'S' and T2.[CardCode] = T1.[ShortName] and T1.[DueDate] <= @Start_Date GROUP BY T1.[ShortName]
    INSERT dbo.#CRDAGEING SELECT T1.[ShortName], NULL, 0, 0, -SUM(T1.[BalDueDeb] - T1.[BalDueCred]), 0, 0, 0, 0, 0, 0, 0, 0 FROM JDT1 T1, OCRD T2 WHERE T2.[CardType] = 'S' and T2.[CardCode] = T1.[ShortName] and T1.[DueDate] >= DATEADD(DAY,1,@Start_Date) and T1.[DueDate] <= DATEADD(DAY,8,@Start_Date) GROUP BY T1.[ShortName]
    INSERT dbo.#CRDAGEING SELECT T1.[ShortName], NULL, 0, 0, 0, -SUM(T1.[BalDueDeb] - T1.[BalDueCred]), 0, 0, 0, 0, 0, 0, 0 FROM JDT1 T1, OCRD T2 WHERE T2.[CardType] = 'S' and T2.[CardCode] = T1.[ShortName] and T1.[DueDate] > DATEADD(DAY,8,@Start_Date) and T1.[DueDate] <= DATEADD(DAY,15,@Start_Date) GROUP BY T1.[ShortName]
    INSERT dbo.#CRDAGEING SELECT T1.[ShortName], NULL, 0, 0, 0, 0, -SUM(T1.[BalDueDeb] - T1.[BalDueCred]), 0, 0, 0, 0, 0, 0 FROM JDT1 T1, OCRD T2 WHERE T2.[CardType] = 'S' and T2.[CardCode] = T1.[ShortName] and T1.[DueDate] > DATEADD(DAY,15,@Start_Date) and T1.[DueDate] <= DATEADD(DAY,22,@Start_Date) GROUP BY T1.[ShortName]
    INSERT dbo.#CRDAGEING SELECT T1.[ShortName], NULL, 0, 0, 0, 0, 0, -SUM(T1.[BalDueDeb] - T1.[BalDueCred]), 0, 0, 0, 0, 0 FROM JDT1 T1, OCRD T2 WHERE T2.[CardType] = 'S' and T2.[CardCode] = T1.[ShortName] and T1.[DueDate] > DATEADD(DAY,22,@Start_Date) and T1.[DueDate] <= DATEADD(DAY,29,@Start_Date) GROUP BY T1.[ShortName]
    INSERT dbo.#CRDAGEING SELECT T1.[ShortName], NULL, 0, 0, 0, 0, 0, 0, -SUM(T1.[BalDueDeb] - T1.[BalDueCred]), 0, 0, 0, 0 FROM JDT1 T1, OCRD T2 WHERE T2.[CardType] = 'S' and T2.[CardCode] = T1.[ShortName] and T1.[DueDate] > DATEADD(DAY,29,@Start_Date) and T1.[DueDate] <= DATEADD(DAY,36,@Start_Date) GROUP BY T1.[ShortName]
    INSERT dbo.#CRDAGEING SELECT T1.[ShortName], NULL, 0, 0, 0, 0, 0, 0, 0, -SUM(T1.[BalDueDeb] - T1.[BalDueCred]), 0, 0, 0 FROM JDT1 T1, OCRD T2 WHERE T2.[CardType] = 'S' and T2.[CardCode] = T1.[ShortName] and T1.[DueDate] > DATEADD(DAY,36,@Start_Date) and T1.[DueDate] <= DATEADD(DAY,43,@Start_Date) GROUP BY T1.[ShortName]
    INSERT dbo.#CRDAGEING SELECT T1.[ShortName], NULL, 0, 0, 0, 0, 0, 0, 0, 0, -SUM(T1.[BalDueDeb] - T1.[BalDueCred]), 0, 0 FROM JDT1 T1, OCRD T2 WHERE T2.[CardType] = 'S' and T2.[CardCode] = T1.[ShortName] and T1.[DueDate] > DATEADD(DAY,43,@Start_Date)  GROUP BY T1.[ShortName]
    SELECT SR.[CardCode], MAX(SR.[CardName]), SUM(SR.[Balance]) AS [BalanceOwing], SUM(SR.[Current]) AS [Current], SUM(SR.[1Week]) AS [1Week], SUM(SR.[2Weeks]) AS [2Weeks], SUM(SR.[3Weeks]) AS [3Weeks], SUM(SR.[4Weeks]) AS [4Weeks], SUM(SR.[5Weeks]) AS [5Weeks], SUM(SR.[6Weeks]) AS [6Weeks], SUM(SR.[Over6Weeks]) AS [Over6Weeks] FROM dbo.#CRDAGEING SR GROUP BY SR.[CardCode] ORDER BY SR.[CardCode]
    END
    Go to Microsoft SQL Studio manager and select your company database. Then expand the list and select Programmability > Stored Procedures. Right click on Stored Procedures and select New Stored Procedure. Copy the above code over the code in the edit window and change the database name as well as report name. Then select Execute to create the stored procedure. If you make changes, remember to change the word CREATE to ALTER (with other words CREATE for the first execute, and ALTER thereafter). Then in SAP Business One create a new query and leave everything blank. Click on execute and select the pencil to change to edit mode. Remove the words SELECT and type in EXEC REPORT_NAME (change the REPORT_NAME to the name you used in SQL). Then execute again and the results will be displayed in SAP Business One.
    Let me know if you get stuck. Remember the above is an example and will need to be changed to use your tables and fields as required. The basic idea is to move across by one column with each select statement. So for example the first select statement does the CURRENT column, the second one the 30DAYS column, and so on.
    Kind regards
    Peter Juby

  • Any Standard Aging report for MM

    Hello All,
    I am looking a standard aging report for Materials on my storage location.
    We are following batch.
    Please help
    Regards
    Lal

    Hi ,
    I hope for your new requirement this might help you .
    If you want to perform an analysis based on the key figure dead stock, proceed as follows:
    From the Inventory Controlling menu, select Environment -> Document evaluations-> Dead stock.
    1. The selection screen appears.
    2. Specify the desired analysis criterion and selection parameters.
    You can carry out the analysis for all plants, that is, for each material, data from all plants are grouped together or only for certain plants, that is, the analysis is created for every designated plant. Any period can be selected for the analysis. The system suggests 90 days as the period to analyze, the calculation starting from the current date.
    The following functions can be used to process the material list.
    Detailed Display
    By using the function Detailed display, you can call up in a table or graph form detailed data for a material including the respective material document. You can analyze all material documents that are related to the evaluated stock of a material.
    If you want to view detailed information for a certain material, proceed as follows:
    Position the cursor on the desired material in the results list and select Edit ->Detailed display.
    A dialog box appears in which you can choose either a graph or table display.
    If you select the graphic, you can display the latest information on:
    •     Cumulative receipts/issues
    •     Warehouse issues
    •     Warehouse receipts
    •     Stock level
    If you select the table, you can display the following information:
    •     Stock movements
    •     Cumulative stock movements
    •     Current stock level
    From the stock movement table you can drill down as far as the material document level to see detailed information. To display stock movements on a particular day, position the cursor on the relevant line and select the Choose function. A popup window appears which displays all the movements on the selected day. The individual movements for a selected date are displayed in a dialog box.
    To display the document for a particular movement, position the cursor on the relevant line and select the Choose function. A popup window appears which displays the document.
    Similarly you can try for the slow moving also .please let me know wether you were able to find what you were looking for .
    source: SAP
    cheers
    KP

  • Aging Report for A/p

    I mean is there anyway to user decode for showing sum(amount) for different period of dates
    is there any idea to make faster ageing report for accounts payable module.
    Thanks AHON
    Edited by: [email protected] on Nov 22, 2009 7:09 AM

    plz write more clear requirements...... ur table structures and report output ....
    i have few aging reports and all working without any problem.....it depends on ur table structure also.

  • Aging Report for consolidating Business Partners

    I have a customer that is using consolidation functionality for its vendors. The BP parent it is set as multicurrency, the childrenu2019s for this parent are set with a different currency (USD, CAD, RMB etc).  My question is how I can obtain a proper aging report for this consolidated BP (by BP children currency) as for now all the transactions are automatically converted in local currency even when Iu2019m selecting the BP currency to display.
    Thank you,
    Alex Corbu

    Hi Alex
    The best would be a query on JDT1 table linked to OINV for example. The problem as you mentioned is that although the document is against the sub account, it is automatically posted against the head account for balance and payment purposes. In the journal file it only keeps the Head account and not the sub accounts. In OINV (and other marketing documents) you can use the FatherCard field to identify the Head account and the CardCode the sub account. These will of course be linked by the Document number from OINV and the Ref1 from JDT1.
    The above is assuming you need the information exactly the same as the ageing, as the ageing is by default pulled from the Journal tables. You could simplify this by using just the OINV table. Remember that the balance is made up of Invoices less Credit Notes, so in this instance it would be OINV minus ORIN entries.
    Hope the above all makes sense, if not just ask.
    Kind regards
    Peter Juby

  • AR Aging Report by Due Date

    Hello:
    I did the OB transfer from another database. I transferred all the invoices by due date. After the transfer I tried to run an aging report. The aging report does not show the AR by age. I just see the total. Any help to resolve this will be much appreciated
    Thanks,
    Satish

    Hi Rahul:
    I entered them at Feb 01 date with the due date of the respective invoices. When I run the aging report by posting date all the transactions fall under < 30 days. But when I choose aging report by due date all the balances show under Balance due and there is no aging available. I tried doing this in the test data base and it worked fine there. But not in the active/production database. Please let me know why is this?
    Thanks,
    Satish

  • (Invoice aging report =   Cash Requirement Report)

    hi,
    The total balance for cash requirement report for specific supplier not match with the balance for Invoice aging Report also for specific supplier
    The expected behavior:
    It must to match the balance between the two reports
    (Invoice aging report = Cash Requirement Report)
    But this not happen when I compare the balances between the report’s
    Kindly , Advise .
    Thanks

    Hello.
    The Invoice Aging Report shows unpaid invoices, which may be not due yet. Use the Cash Requirement Report to forecast your immediate cash needs for invoice payments.
    Octavio

  • I need the Log Report for the Data which i am uploading from SAP R/3.

    Hi All,
    I am BI 7.0 Platform with Support Patch 20.
    I need the Log Report for the Data which i am uploading from SAP R/3.
    I extract the DATA from R/3 into BI 7.0 DSO where I am mapping the GL Accounts with the FS Item.   In the Transformation i have return a routine on the FS Item InfObject . I am checking the Gl code into Z table for the FS Item .
    I capture the FS item from the Z table then update this FS item to Infobject FS item.
    Now i  need to stop the Data upload if i do not find the GL code in the Z table, and generate report for all GL code for which the FS item is not maintained in the Z table.
    Please suggest.
    Regards
    nilesh

    Hi.
    Add a field that you will use to identify if the GL account of the record was found in the Z table or not. Fx, create ZFOUND with length 1 and no text.
    In your routine, when you do the lookup, populate ZFOUND with X when you found a match (sy-subrc = 0) and leave it blank if you don't find a match. Now create a report filtering on ZFOUND = <blank> and output the GL accounts. Those will be the ones not existing in the Z table, but coming in from your transactions.
    Regards
    Jacob

  • AP Invoice Aging Report in BI Apps

    Hi All,
    I am working with BI Apps 7.9.6.4 ( Financial Analytic)
    In AP DAshboard, we have AP Invoice Aging report.
    In this report 1-30, 31-60, 61-90 and 91+ Aging Buckets are available.
    I want all 365 days like 1-30, 31-60, 61-90, 91-120,121-150,151-180, so on.
    Please guide me how to achieve it.
    Thanks In Advance,
    Prashant

    Please provide some more information.
    How to extend the buckets parameter.
    Thanks,
    Prashant

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