AP opening Balance for one year

Hi
I need opening balance upto 2009,total purchases and payment from which table i can get opening balacne fro specif year and total purchases and payments
Thanks

Dear Experts,
I also have the same requirements, I want to load the Opening balance for the year 2011.
I Never load this, and any help would be highly appreciated.
Thanks,
Atul

Similar Messages

  • How to get Open Balance for the year and Total Ending Balance?

    For a given account, how to get Open Balance for the year (Cumulative Ending Balance) and Total Ending Balance (Cumulative Ending Balance)?
    Is there any function module available? or should I read from some tables? Please advice.

    Hello Paul,
    You could try calling one of the following BAPIs - see which one meets your requirement. They are documented well so shouldn't be a problem finding out the correct one for your requirements.
    BAPI_GL_GETGLACCBALANCE      
    BAPI_GL_GETGLACCCURRENTBALANCE
    BAPI_GL_ACC_GETBALANCE      
    BAPI_GL_ACC_GETCURRENTBALANCE
    BAPI_GL_ACC_GETPERIODBALANCES
    BAPI_COND_VAL_DECRE_BALANCES
    You might have to put in some of your own logic after the BAPI call to get what you want.
    Hope this helps,
    Cheers,
    Sougata.
    p.s. Also look at FM FAGL_GET_ACCOUNT_BALANCE
    Edited by: Sougata Chatterjee on May 7, 2008 11:47 AM

  • How to enter opening balance for GL A/C(Ex. Bank A/C, Cash A/C, Vendor A/C)

    Hi Expert,
    How to enter opening balance for last year to closing balance to this year opening balance explain deeply helpful for me Thanks in advance.
    Example
    All Bank A/C, Cash Book, Vendors, Customers, like that how to enter closing to opening balance.
    With Warm regards,
    Selva

    Dear,
    As per SAP standard there is no need to carry forward the balances as the system will do a virtual carry forward into next year opening without creating any FI documents.
    If your business scenario demands then you can use the transaction code F-02 for posting a carry forward balances, this will not effect any of your balances but only creates a FI document.
    If your R3 version is SAP ECC5 or 6 then use the transaction code FAGLGVTR

  • Opening Balances for Previous Periods

    Hi Experts,
    There is a client requirement of entering opening balances for GL for previous periods before going live.
    eg it is required to have OB for 2006,2007 and 2008 before live transactions are entered into the system.
    Please enlighten on how to carry out this.
    Regards,
    Asap

    Hi Asap,
    You could only have one OB for one account.  If those OB for different years are for different accounts, it is ok.  Otherwise, you have 2006 OB only. You may create JE to get something like OB for 2007 and 2008.
    Thanks,
    Gordon

  • HOW TO CARRY FORWARD RG1 CLOSING BALANCE TO OPENING BALANCE FOR NEW FISCAL

    Hi Experts
    How to carry forward the RG1 closing stock at the year end to opening balance of Rg1 for new year.
    Wt are the steps required for closing activity of RG1 and carry forward closing balance of last year to opening balance of  new year.
    Thanks

    Hi Rohan,
    For RG1 and RG23 A Part I and RG23 C Part I
    Go to SE16, here enter Table Name - J_2IRG1BAL and Click on "Create" button in initial screen, it will give the maintenance screen. Here mainatin following;
    For each of these materials, you have maintained the material form in table J_2IRG1BAL as below. Do not make any entries in fields that are not listed below:
    EXGRP - Materialu2019s excise group
    DATUM - Date from which RG1 report is required, normally the date of going live
    MATNR - Material
    FORM - Enter P (Packed) or L (Loose). Do not leave this field blank.
    WERKS - Leave this field blank.
    OP FN UOM, OP BN UOM, CB FN UOM - Leave these fields blank. All quantities in this table are updated in the base unit of measure of the material
    USNAM - User ID of the person filling out the table.
    CPUDT - Date of entry
    CPUTM - Time of entry
    Note: - This is to be done before J1I5, J2I5.
    Also refer link;
    Update of Registers RG 1 and RG 23 (Part I)
    For RG23 A Part II, RG23 C Part II and PLA
    Go to SE16, here enter Table Name - J_2IACCBAL and Click on "Create" button in initial screen, it will give the maintenance screen. And maintain following;
    Excise Group
    Data element for Register names
    Date
    Plant
    Basic duty (OP BAL)
    Basic duty (CL BAL)
    Basic duty (EXAMT)
    Extract Indicator
    User name
    Entry Date
    Entered at
    Note: -
    1. Enter OP BAL, CL BAL and EXAMT all as same as opening balance. For e.g. opening balance for RG23ABED is 1400 then this value is to be entered in all the 3 fields.
    2. You have to enter separate line items for all the accounts;
    RG23ABED
    RG23ASED
    RG23AAED
    RG23CBED
    RG23CSED
    RG23CAED
    PLABED
    PLASED
    PLAAED
    PLACESS
    RG23AECS
    RG23CECS
    PLAECS
    RG23AAT1
    RG23CAT1
    PLAAT1
    3. Enter Date is one day before of the opening. For e.g. if opening date is 01.04.2008 then enter it in 31.03.2008
    Then go for J2I5 - Extract and J2I6 - Print Utility
    use following
    http://help.sap.com/bp_bblibrary/470/Documentation/J33_BPP_32_CHEM_EN_IN.doc
    http://help.sap.com/saphelp_erp60_sp/helpdata/en/18/8e113999724854e10000000a11405a/content.htm
    Reefer this link for complete Excise transactions
    http://help.sap.com/saphelp_erp60_sp/helpdata/en/09/ebf138cdd78a4be10000000a114084/frameset.htm
    Re: Excise -initial upload
    Hopefully this will helpfull to resolve your answer.
    Thanks & regards,
    Pankaj Mahajan

  • How to find Opening Balance for Cash Book

    Hello Friends,
    I am Creating one Report for Cash Book.(Means : For Perticuler GL Account)
    I have no idea how to find Opening Balance for some Perticuler Date.
    Ex.
         Current date: 07/06/2007
        and i want to find Opening Balance on 26/05/2007
    i have Function for Calculating Opening Balance,                                                                               
    Group No: 3006             Business Object General Ledger Account  
    BAPI_GL_ACC_EXISTENCECHECK     Check existence of G/L account                  
    BAPI_GL_ACC_GETBALANCE     Closing balance of G/L account for chosen year  
    BAPI_GL_ACC_GETCURRENTBALANCE  Closing balance of G/L acc for curr year
    BAPI_GL_ACC_GETPERIODBALANCES  Posting period balances for each G/L account    
    but they show current opening balance, and i want for perticulaer Date..
             How to find Opening Balance for Cash Book
    please Help me out
    Thanks
    Gaurav Tripathi

    Hi Maruthi,
       Opening balance for a cutomer for a given period, u need to first find closing balance of that customer in the previous period. For eg. Suppose u want to find opening balance for customer 'A' for month of Nov'06, then U have to find wot was his closing balance in at end of Oct'06. Hope this solves u r problem

  • How to put schedule lines for one year  in a schedule line agreement

    dear all
    thanks for the support till now from the forum
    now i need some seetings by which the scheduling agreement will autoumatically take the schedule line for one year automatically
    in my client we are getting open PO so
    we have to make one agreement acording to that PO and thats for one year
    and this one yr will have same quantity to be produced everyday
    means 12nos of material every day for 12 month and this will be for every day
    and as per that it should generate a sales order.i need to put schedule line automatically not mannually one by one for each date.so wat is the settingand how to reffer this scheduling agreement we can produce sales order.
    please help
    subrat
    Message was edited by:
            subrat panda

    Dear Subrat,
    you cannot create a yearly schedule line in the scheduling agreement. It is not possible due to format restrictions of the date field. But what you can do is the follows (it is the modification, but it should work with the help of user-exits):
    1. You can split the year schedule line to the monthly schedule lines. There are two ways to do it. If you apply the DELINS IDOC, then you can do it already during transfer of the data to the application (itr is the best way). Here you can use, for example, user-exit USEREXIT_ZUORDNEN_IDOCS (include LVED4FZZ) or customer function EXIT_SAPLVED4_002, called from the subroutine USEREXIT_DYNPRO (Include LVED4F0U). Alternatively, you can use the user-exit USEREXIT_MOVE_FIELD_TO_VBEP (Include MV45AFZZ) within the call transaction, then it will work also in the dialog case.
    2. After getting the monthly schedule lines, you can create a planning delivery schedule, where you can split mothly schedule lines automatically to daily schedule lines according to the customer factory calender.The settings for generation of planning delivery schedules can be found under:
    Customizing SPRO: Sales and Distribution => Sales => Sales Documents => Scheduling Agreements with Delivery schedules => Maintain Planning Delivery Sched. Instruct./Splitting Rules
    It is the only ways, how you can reach your aim. I hope, this information will help you further.
    Kind Regards,
    Akmal Vakhidov
    Development Support SD, SAP, Walldorf/Germany

  • Problem in getting opening balance for multiple GL Account

    Hi,
    I am working on a  Trail Balance Report in which i am trying to fetch the data for the opening balance for multiple GL Accounts but it is not coming accurate.. Here is the link to the code which i am using currently right now:-
    http://docs.google.com/View?id=dfxswwff_13fgpdcbgt
    here i am showing the logic for the data of previous year only... i.e. data from begining to 1 day less of the date-low.

    Hi,
    It is a tranparent table which is getting data from the 2 other tables,the filling of this table is right. The execution of this query is right in the program but the problem comes when it is trying to calculate the opening balance for the respective GL Account present in the query it is not doing it. i.e. if there are 2 gl account ids having 3 rows of data each it is not calculating the of it in a single row.. i hope it is clear now...

  • Entering opening balance for a new company

    Hi all
    I am using AP, GL and CM. After successful testing on test environment the customer now is forwarding in live environment.
    He has prepared open balance for all accounts and i should migrate these balances in the system.
    This balance sheet prepared from the customer is balanced so debits equals to credits.
    The currency of this company is ALL, and in this document there are few accounts that are in EUR and USD, but in total the converted amounts of these accounts(accounts that has balance in foreign currency) together with other accounts in ALL are balanced.
    Now i have to enter in the GL module three different journals, one in ALL, one in EUR and the last one in USD, with the exchange rates given by the customer.
    The question is here. These three journals are not balanced, and i wanted a suggestion which is the best way to enter the open balance for this customer.
    Thank you and best regards

    Hi Octavio
    So the document sent from the customer is like this:
    Acc. No------------Debit ALL-----Credit ALL----------Debit EUR-------Credit EUR----------------Debit USD----------Credit USD
    Acc. 1--------------100
    Acc. 2--------------150-------------------------------------100
    Acc. 3--------------150-------------------------------------100
    Acc. 4--------------200-----------------------------------------------------------------------------------------200
    Acc. 5--------------200-----------------------------------------------------------------------------------------200
    Acc. 6---------------------------------800
    Now accounts in foreign currency should have their balances in foreign currency and the converted amount is giving the balance in local currency.
    so i have to register three journals or am i wrong?? As you can see the journals in each currency are not balanced.
    Thanks again
    Edited by: user567002 on Nov 26, 2010 3:13 AM
    Edited by: user567002 on Nov 26, 2010 3:15 AM

  • How to get the opening balances for lessthan selected date in cubes.

    Hi All,
    my task is to get the opening balances for the selected date.
    Ex: If I select date say 31-1-2013, I should get the sum of values which are less than the selected date.
    in sql:
    select sum(balance) from banktrans where banktrans.transdate < 31-1-2013;
    BankTable                            BankTrans
    BankId                               BankId
                                            balance
                                            transdate
    BankTable (records):
    SCB
    BankTrans(records):
    a) SCB, 15000, 10-02-2013
    b) SCB, 20000, 31-01-2014
    c) SCB, 50000, 21-09-2012
    If I select date as 31-01-2014, I should get the value as 65000 
    If I select date as 10-02-2013, I should get the value as 50000
    Date will be dynamic selection from years months days hirearchy ( time dimension)
    How can i achieve this?  
    any help is much appreciated.
    Thanks,
    Rakesh

    Dear David,
    I've tried the below with static date but i'm not getting the values which are sum of less than the given date.
    I've given 1st jan 2013 as static date and I need to get the sum of values which are less than the 1st jan date.
    CREATE
    MEMBER
    CURRENTCUBE.[Measures].[OPENBALANCE]
    AS
    Sum({Null:[Time].[Years
    Quarters Months Weeks Days].[Days].&[2013-01-01T00:00:00]},[Measures].[AmountCur]]),
    FORMAT_STRING
    = "Standard",
    VISIBLE
    = 1
    can you plz check the above once and guide me.
    Thankyou,
    Rakesh

  • Importing BP opening balance  for AP&AR aging report

    I use DTW import BP opening balance,
    for example Maybe AR  posting date is 20080908 and 20090808 ,but I importing GL opening balance at the time of 20091231.
    I wonder whether I shoud import posting date  of  AR templete and datatime of databaseserver is the same year.
    Please advise.

    Thank you for your reply. You understand correctly  What I exactly want to realize the situation.
    But  in fact ,I have just  imported  the AR doc  which column of    docdate is 2010001 in his templete.
    I cannot  import  AR doc of others year  . The DTW prompt error "no matching record odbc(...)"..
    Maybe I need the set the posting period to currecnt  period .but I cannot find the setting In sbo 2007B
    Please advise!

  • Transfer opening balance for GL accounts and AR, AP accounts

    Dear all,
    How could I transfer opening balance for all GL. AR, AP accounts before system go libe ?
    Thank you very much,
    Kindly regards,
    Sylvecast.

    Hello
    +Dear all,
    How could I transfer opening balance for all GL. AR, AP accounts before system go libe ?
    Thank you very much,
    Kindly regards,
    Sylvecast+
    Ideally, One journal entry for all GL accounts is advisable. Open a clearing account. Debit all GL balances and credit the clearing account. For credit balances, debit the clearing account and credit the GL accounts.
    For open items in AR and AP use LSMW tool, this would take care of the postings to recon accounts also.
    For asset balances, depreciation balances use the LSMW tool. For any other balances, ensure credit or debit to the clearing account, like opening stocks etc.
    At the end of the process, ensure clearing account is zeroed
    Reg
    assign points if useful

  • XL Reporter opening balance for account

    Hello,
    I want to have in XL Reporter an list with all the tranzaction of an account in a certain day. I also need to have the balance before that day (previous opening balance) and the balance after that day, just like in General Ledger Report in SBO. I don't know how to access this opening balance. Should I add all the debits and substract all the credits before that day? What about the opening balance of the year?
    Thank you,
    Irina

    Tks for your info. If you are not in a hurry, I will try to check that here but I don't promise.
    I am very busy in this last of this year since there is a company that did not pay the 2007 maintenance fee because their required reports did not created yet, meanwhile as far as I know customized report is not part of SAP B1 maintenance and support. The reports they want must be similar like platinum's reports.
    I could send you files related to XL reporter if you need it. Btw, where are you from ?
    Rgds,
    JM
    http://groups.yahoo.com/group/SBO_Knowledge_Village
    [email protected]

  • Production: "Opening Balance for outstanding work in process (work order)"

    Hi, can anyone help me on how to input opening balance for outstanding work in process (work order) in SAP Business One?  Thanks.

    Hi Suda,
    Yes, i have been discussing that issue with my friends and we have the same idea about using production order (the same as your idea). With your opinion, we are more confident to apply it.
    Btw, do you have any sugestion if there are differences between legacy system WIP and SAP Business One WIP which is generated by production order (issue for production).
    Thank Suda.
    Arin

  • How to query the opening balance for an specific account for an spec. date

    Hi all,
    for my user query I need to calculate the opening balance for an cash account for an specific date.
    Any ideas, how can I do this?
    Or may be you know a field in an SBO table that already contains information I need...
    Best Regards,
    Inna

    Hi Inna,
    to find the opening balance for an account or a business partner, please see SAP Note [1114253|https://service.sap.com/sap/support/notes/1114253] :
    Symptom
    How to find the opening balance of a business partner or G/L account.
    Other terms
    Account, customer, supplier, vendor, creditor, debitor, start, initial, first, opening balance, business partner, G/L, SAP Business One
    Reason and Prerequisites
    Consulting
    Solution
    There are several possible approaches:
    Approach 1 - Business Partner Opening Balance:
    1. Go to Business Partners -> Business Partner Master Data -> find the Business Partner
    2. Click on the orange link arrow next to the field 'Account Balance' in the header region of the window.
    3. Untick the boxes next to 'Posting date from', 'Display' and 'Display Unreconciled Trans. Only'.
    4. Click on the button 'Refresh'.
    5. Find 'OB' in the column 'Origin', this is the opening balance journal entry.
    Approach 2 - Business Partner Opening Balance:
    1. Go to Business Partners -> Business Partner Master Data.
    2. Click on the orange link arrow next to the field 'Account Balance' in the header region of the window.
    3. Untick the boxes next to 'Posting date from', 'Display' and 'Display Unreconciled Trans. Only'.
    4. Click on the button 'Refresh'.
    5. Double click on the column header 'Posting Date' to find the earliest transaction on the business partner account. This transaction could be opening balance, verify this with the company accountant.
    Approach 3 - G/L Account Opening Balance:
    1. Go to Financials -> Chart of Accounts -> click on the account name once.
    2. Click on the orange link arrow next to the field 'Balance'.
    3. Untick the boxes next to 'Posting date from', 'Display' and 'Display Unreconciled Trans. Only'.
    4. Click on the button 'Refresh'.
    5. Find 'OB' in the column 'Origin', this is the opening balance journal entry.
    Approach 4 - Business Partner and/or G/L Account Opening Balance:
    1. If using SAP Business One 2005 SP01 or earlier, go to Reports -> Query Generator -> click on 'Execute'.
    2. If using SAP Business One 2007 or later, go to Tools -> Queries -> Query Generator -> click on 'Execute'.
    3. Ignore the red system message in the bottom of the screen.
    4. Click on the pencil icon in the top left of the window, the field with 'SELECT *' will change colour to white, then yellow when activated by clicking in the field.
    5. Copy the query below:
               SELECT T0.[TransId], T0.[Debit], T0.[Credit] , T0.[CreatedBy], T0.[TransType] FROM [dbo].[JDT1]  T0 WHERE T0.[TransType] = '-2'  and T0.[ShortName]  = '[%1]'
    6. Click on 'Save' and give the query an appropriate name and select the appropriate category.
    7. Click on 'Execute'.
    8. Click on 'Existing Values'.
    9. Select the G/L account or the Business Partner name from the list and click on 'OK'.
    10. The system message 'Records retrieved by this query #' (# = number of records) will pop up. Click on 'OK'.
    All the best,
    Kerstin

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