BAPI for Posting Asset Documents

Dear All,
I have a requirement where I have to post Asset Accounting Documents. The purchase is done from the Vendor. I need to pass the Vendor code, Special GL Indicator and reconciliation Account in one line item and Asset Number in another line item.
I need to find a BAPI to pass the above values.
Regards,
Venkatesh

Dear All,
I have a requirement where I have to post Asset Accounting Documents. The purchase is done from the Vendor. I need to pass the Vendor code, Special GL Indicator and reconciliation Account in one line item and Asset Number in another line item.
I need to find a BAPI to pass the above values.
Regards,
Venkatesh

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    Hi Sandra,
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  • BAPI for posting accounting documents

    Hi,
    Can anyone please provide me with the BAPI to be used for GL postings with example.

    Hi,
    Use  the BAPI   BAPI_ACC_DOCUMENT_POST for posting Documents.
    Check the sample code related to posting.
    REPORT  acc_bapi_document                  .
    selection-screen begin of block bl01 .
    parameters:
      check_l             radiobutton group rb1,
      check_a default 'X' radiobutton group rb1,
      post                radiobutton group rb1.
    selection-screen uline.
    parameters:
      rev_c               radiobutton group rb1,
      rev_p               radiobutton group rb1.
    selection-screen uline.
    parameters:
      ref_key like bapiache01-obj_key default 'TEST000001BAPICALL',
      dest    like bdi_logsys-logsys  default '          '.
    selection-screen end   of block bl01 .
    data:
      gd_documentheader    like bapiache09,
      gd_customercpd       like bapiacpa09,
      gd_fica_hd           like bapiaccahd,
      it_accountreceivable like table of bapiacar09 with header line,
      it_accountgl         like table of bapiacgl09 with header line,
      it_accounttax        like table of bapiactx09 with header line,
      it_criteria          like table of bapiackec9 with header line,
      it_valuefield        like table of bapiackev9 with header line,
      it_currencyamount    like table of bapiaccr09 with header line,
      it_return            like table of bapiret2   with header line,
      it_receivers         like table of bdi_logsys with header line,
      it_fica_it           like table of bapiaccait with header line,
      it_accountpayable    like table of bapiacap09 with header line,
      it_paymentcard       like table of bapiacpc09 with header line,
      it_ext               like table of bapiacextc with header line.
    it_re                LIKE TABLE OF bapiacre09 WITH HEADER LINE,
    it_ext2              LIKE TABLE OF bapiparex  WITH HEADER LINE.
    perform fill_internal_tables.
    if check_l = 'X'.
      call function 'BAPI_ACC_DOCUMENT_CHECK'
           destination dest
           exporting
                documentheader    = gd_documentheader
                customercpd       = gd_customercpd
                contractheader    = gd_fica_hd
           tables
                accountgl         = it_accountgl
                accountreceivable = it_accountreceivable
                accountpayable    = it_accountpayable
                accounttax        = it_accounttax
               currencyamount    = it_currencyamount
                criteria          = it_criteria
                valuefield        = it_valuefield
                extension1        = it_ext
                return            = it_return
                paymentcard       = it_paymentcard
                contractitem      = it_fica_it.
               extension2        = it_ext2
               realestate        = it_re.
      write: / 'Result of check lines:'.                        "#EC NOTEXT
      perform show_messages.
    endif.
    if check_a = 'X'.
      call function 'BAPI_ACC_DOCUMENT_CHECK'
        destination dest
        exporting
          documentheader    = gd_documentheader
          customercpd       = gd_customercpd
          contractheader    = gd_fica_hd
        tables
          accountgl         = it_accountgl
          accountreceivable = it_accountreceivable
          accountpayable    = it_accountpayable
          accounttax        = it_accounttax
          currencyamount    = it_currencyamount
          criteria          = it_criteria
          valuefield        = it_valuefield
          extension1        = it_ext
          return            = it_return
          paymentcard       = it_paymentcard
          contractitem      = it_fica_it.
         extension2        = it_ext2
         realestate        = it_re.
      write: / 'Result of check all:'.                          "#EC NOTEXT
      perform show_messages.
    endif.
    if post = 'X'.
      data: l_type like gd_documentheader-obj_type,
            l_key  like gd_documentheader-obj_key,
            l_sys  like gd_documentheader-obj_sys.
      if dest = space or
         dest = gd_documentheader-obj_sys.
       post synchron
        call function 'BAPI_ACC_DOCUMENT_POST'
          exporting
            documentheader    = gd_documentheader
            customercpd       = gd_customercpd
            contractheader    = gd_fica_hd
          importing
            obj_type          = l_type
            obj_key           = l_key
            obj_sys           = l_sys
          tables
            accountgl         = it_accountgl
            accountreceivable = it_accountreceivable
            accountpayable    = it_accountpayable
            accounttax        = it_accounttax
            currencyamount    = it_currencyamount
            criteria          = it_criteria
            valuefield        = it_valuefield
            extension1        = it_ext
            return            = it_return
            paymentcard       = it_paymentcard
            contractitem      = it_fica_it.
           extension2        = it_ext2
           realestate        = it_re.
        write: / 'Result of post:'.                             "#EC NOTEXT
        perform show_messages.
      else.
      create Idoc
        it_receivers-logsys = dest.
        append it_receivers.
        call function 'ALE_ACC_DOCUMENT_POST'
          exporting
            documentheader    = gd_documentheader
            customercpd       = gd_customercpd
            contractheader    = gd_fica_hd
          tables
            accountgl         = it_accountgl
            accountreceivable = it_accountreceivable
            accountpayable    = it_accountpayable
            accounttax        = it_accounttax
            currencyamount    = it_currencyamount
            criteria          = it_criteria
            valuefield        = it_valuefield
            extension1        = it_ext
            paymentcard       = it_paymentcard
            contractitem      = it_fica_it
           extension2        = it_ext2
           realestate        = it_re
            receivers         = it_receivers
          COMMUNICATION_DOCUMENTS =
          APPLICATION_OBJECTS     =
          exceptions
            error_creating_idocs    = 1
            others                  = 2  .
        if sy-subrc = 0.
          write: / 'IDoc created'.                              "#EC NOTEXT
        else.
          write: sy-msgid.
        endif.
      endif.
    endif.
    if rev_p = 'X' or rev_c = 'X'.
      data: rev like bapiacrev,
            rev_key like ref_key.
      rev_key       = ref_key.
      rev_key(1)    = 'R'.
      rev-obj_type  = gd_documentheader-obj_type.
      rev-obj_key   = rev_key.
      rev-obj_sys   = gd_documentheader-obj_sys.
      rev-obj_key_r = ref_key.
      if rev_c is initial.
        if dest = space or
           dest = gd_documentheader-obj_sys.
          call function 'BAPI_ACC_DOCUMENT_REV_POST'
            exporting
              reversal = rev
              bus_act  = gd_documentheader-bus_act
            tables
              return   = it_return.
        else.
          it_receivers-logsys = dest.
          append it_receivers.
          call function 'ALE_ACC_DOCUMENT_REV_POST'
            exporting
              reversal                      = rev
              busact                        = gd_documentheader-bus_act
            OBJ_TYPE                      = 'BUS6035'
            SERIAL_ID                     = '0'
            tables
              receivers                     = it_receivers
            COMMUNICATION_DOCUMENTS       =
            APPLICATION_OBJECTS           =
            exceptions
              error_creating_idocs          = 1
              others                        = 2
          if sy-subrc  0.
            message id sy-msgid type sy-msgty number sy-msgno
                    with sy-msgv1 sy-msgv2 sy-msgv3 sy-msgv4.
          else.
            write: / 'IDoc created'.                            "#EC NOTEXT
          endif.
        endif.
      else.
        call function 'BAPI_ACC_DOCUMENT_REV_CHECK'
          exporting
            reversal = rev
            bus_act  = gd_documentheader-bus_act
          tables
            return   = it_return.
      endif.
      write: / 'Result of Reversal Posting:'.                   "#EC NOTEXT
      perform show_messages.
    endif.
    commit work.
         Form  fill_internal_tables
    form fill_internal_tables.
      perform fill_header.
      perform fill_accountgl.
    perform fill_accountar.
      perform fill_accountap.
      perform fill_accounttax.
      perform fill_currencyamount.
    perform fill_criteria.
    perform fill_valuefield.
    perform fill_re.
    perform fill_cpd.
    perform fill_contractitem.
    perform fill_contractheader.
    perform fill_paymentcard.
    perform fill_extension.
    endform.                               " fill_internal_tables
         Form  Show_messages
    form show_messages.
      if it_return[] is initial.
        write: / 'no messages'.
      else.
        skip 1.
        loop at it_return.
          write: /    it_return-type,
                 (2)  it_return-id,
                      it_return-number,
                 (80) it_return-message,
                    IT_RETURN-LOG_NO
                    IT_RETURN-LOG_MSG_NO
                      it_return-message_v1,
                    IT_RETURN-MESSAGE_V2
                    IT_RETURN-MESSAGE_V3
                    IT_RETURN-MESSAGE_V4
                 (20) it_return-parameter,
                 (3)  it_return-row,
                      it_return-field.
                    IT_RETURN-SYSTEM
        endloop.
      endif.
      uline.
    endform.                               " Show_messages
          FORM fill_accountgl                                           *
    form fill_accountgl.
      clear it_accountgl.
      it_accountgl-itemno_acc     = 2.
      it_accountgl-gl_account     = '0021510201'.
      it_accountgl-item_text      = 'BAPI Test G/L line item'.  "#EC NOTEXT
    it_accountgl-bus_area       = '01'.
    it_accountgl-profit_ctr     = '0000010101'.
    it_accountgl-comp_code      = 'SLOC'.
      append it_accountgl.
      clear it_accountgl.
      it_accountgl-itemno_acc     = 3.
      it_accountgl-gl_account     = '0082000201'.
      it_accountgl-item_text      = 'BAPI Test G/L line item'.  "#EC NOTEXT
      it_accountgl-bus_area       = '01'.
      it_accountgl-profit_ctr     = '0000010101'.
      it_accountgl-comp_code      = 'SLOC'.
      it_accountgl-tax_code       = 'A3'.
      append it_accountgl.
      clear it_accountgl.
      it_accountgl-itemno_acc     = 5.
      it_accountgl-gl_account     = '0021510201'.
      it_accountgl-item_text      = 'BAPI Test G/L line item'.  "#EC NOTEXT
    it_accountgl-bus_area       = '01'.
    it_accountgl-profit_ctr     = '0000010301'.
    it_accountgl-comp_code      = 'SLOC'.
      append it_accountgl.
      clear it_accountgl.
      it_accountgl-itemno_acc     = 6.
      it_accountgl-gl_account     = '0082000201'.
      it_accountgl-item_text      = 'BAPI Test G/L line item'.  "#EC NOTEXT
      it_accountgl-bus_area       = '01'.
      it_accountgl-profit_ctr     = '0000010301'.
      it_accountgl-comp_code      = 'SLOC'.
      it_accountgl-tax_code       = 'A3'.
      append it_accountgl.
      clear it_accountgl.
      it_accountgl-itemno_acc     = 7.
    it_accountgl-itemno_acc     = 8.
      it_accountgl-gl_account     = '0021510201'.
      it_accountgl-item_text      = 'BAPI Test G/L line item'.  "#EC NOTEXT
    it_accountgl-bus_area       = '90'.
    it_accountgl-profit_ctr     = '0000900008'.
    it_accountgl-comp_code      = 'CORP'.
      append it_accountgl.
      clear it_accountgl.
      it_accountgl-itemno_acc     = 8.
    it_accountgl-itemno_acc     = 9.
      it_accountgl-gl_account     = '0082000201'.
      it_accountgl-item_text      = 'BAPI Test G/L line item'.  "#EC NOTEXT
      it_accountgl-bus_area       = '90'.
      it_accountgl-profit_ctr     = '0000900008'.
      it_accountgl-comp_code      = 'CORP'.
    it_accountgl-tax_code       = 'A3'.
      append it_accountgl.
    endform.                    "fill_accountgl
          FORM fill_header                                              *
    form fill_header.
    CALL FUNCTION 'OWN_LOGICAL_SYSTEM_GET'
       IMPORTING
         own_logical_system = gd_documentheader-obj_sys.
    OBJ_TYPE has to be replaced by customers object key (Y* or Z*)
    gd_documentheader-obj_type   = 'IDOC'.
    gd_documentheader-obj_key    = ref_key.
      gd_documentheader-username   = sy-uname.
      gd_documentheader-header_txt = 'BAPI Test'.               "#EC NOTEXT
    gd_documentheader-obj_key_r  =
    GD_DOCUMENTHEADER-reason_rev =
    gd_documentheader-comp_code  = 'SLOC'.
    GD_DOCUMENTHEADER-AC_DOC_NO  =
      gd_documentheader-fisc_year  = sy-datum(4).
      gd_documentheader-doc_date   = sy-datum.
      gd_documentheader-pstng_date = sy-datum.
    GD_DOCUMENTHEADER-TRANS_DATE =
    GD_DOCUMENTHEADER-VALUE_DATE =
    GD_DOCUMENTHEADER-FIS_PERIOD =
    gd_documentheader-doc_type   = 'KR'.
    gd_documentheader-ref_doc_no = 'xxxx'.
    GD_DOCUMENTHEADER-COMPO_ACC  =
      gd_documentheader-bus_act    = 'RFBU'.
    endform.                    "fill_header
          FORM fill_contractheader                                     *
    form fill_contractheader.
    gd_fica_hd-doc_no           =
    gd_fica_hd-doc_type_ca      =
    gd_fica_hd-res_key          =
    gd_fica_hd-fikey            =
    gd_fica_hd-payment_form_ref =
    endform.                    "fill_contractheader
          FORM fill_cpd                                                 *
    form fill_cpd.
    gd_customercpd-name
    gd_customercpd-name_2
    gd_customercpd-name_3
    gd_customercpd-name_4
    gd_customercpd-postl_code
    gd_customercpd-city
    gd_customercpd-country
    gd_customercpd-country_iso
    gd_customercpd-street
    gd_customercpd-po_box
    gd_customercpd-pobx_pcd
    gd_customercpd-pobk_curac
    gd_customercpd-bank_acct
    gd_customercpd-bank_no
    gd_customercpd-bank_ctry
    gd_customercpd-bank_ctry_iso
    gd_customercpd-tax_no_1
    gd_customercpd-tax_no_2
    gd_customercpd-tax
    gd_customercpd-equal_tax
    gd_customercpd-region
    gd_customercpd-ctrl_key
    gd_customercpd-instr_key
    gd_customercpd-dme_ind
    gd_customercpd-langu_iso
    endform.                    "fill_cpd
          FORM fill_ar                                                  *
    form fill_accountar.
    CLEAR it_accountreceivable.
    it_accountreceivable-itemno_acc =
    it_accountreceivable-customer   =
    IT_ACCOUNTRECEIVABLE-REF_KEY_1  =
    IT_ACCOUNTRECEIVABLE-REF_KEY_2  =
    IT_ACCOUNTRECEIVABLE-REF_KEY_3  =
    IT_ACCOUNTRECEIVABLE-PMNTTRMS   =
    IT_ACCOUNTRECEIVABLE-BLINE_DATE =
    IT_ACCOUNTRECEIVABLE-DSCT_DAYS1 =
    IT_ACCOUNTRECEIVABLE-DSCT_DAYS2 =
    IT_ACCOUNTRECEIVABLE-NETTERMS   =
    IT_ACCOUNTRECEIVABLE-DSCT_PCT1  =
    IT_ACCOUNTRECEIVABLE-DSCT_PCT2  =
    IT_ACCOUNTRECEIVABLE-PYMT_METH  =
    IT_ACCOUNTRECEIVABLE-DUNN_KEY   =
    IT_ACCOUNTRECEIVABLE-DUNN_BLOCK =
    IT_ACCOUNTRECEIVABLE-PMNT_BLOCK =
    IT_ACCOUNTRECEIVABLE-VAT_REG_NO =
    IT_ACCOUNTRECEIVABLE-ALLOC_NMBR =
    it_accountreceivable-item_text  =
    IT_ACCOUNTRECEIVABLE-PARTNER_BK =
    IT_ACCOUNTRECEIVABLE-GL_ACCOUNT =
    it_accountreceivable-comp_code
    it_accountreceivable-bus_area
    it_accountreceivable-pmtmthsupl
    it_accountreceivable-paymt_ref
    it_accountreceivable-scbank_ind
    it_accountreceivable-businessplace
    it_accountreceivable-sectioncode
    it_accountreceivable-branch
    it_accountreceivable-pymt_cur
    it_accountreceivable-pymt_cur_iso
    it_accountreceivable-pymt_amt
    it_accountreceivable-c_ctr_area
    it_accountreceivable-bank_id
    it_accountreceivable-supcountry
    it_accountreceivable-supcountry_iso
    it_accountreceivable-tax_code
    it_accountreceivable-taxjurcode
    it_accountreceivable-tax_date
    it_accountreceivable-sp_gl_ind
    it_accountreceivable-partner_guid = '1465464654'.
    APPEND it_accountreceivable.
    endform.                    "fill_accountar
          FORM fill_ap                                                  *
    form fill_accountap.
      clear it_accountpayable.
      it_accountpayable-itemno_acc = 1.
    it_accountpayable-vendor_no  = '0000060259'.
      it_accountpayable-vendor_no  = '0000060693'.
    it_accountpayable-gl_account
    it_accountpayable-ref_key_1
    it_accountpayable-ref_key_2
    it_accountpayable-ref_key_3
    it_accountpayable-comp_code = 'SLOC'.
    it_accountpayable-bus_area = '01'.
    it_accountpayable-pmnttrms = 'A000'.
    it_accountpayable-bline_date
    it_accountpayable-dsct_days1
    it_accountpayable-dsct_days2
    it_accountpayable-netterms
    it_accountpayable-dsct_pct1
    it_accountpayable-dsct_pct2
    it_accountpayable-pymt_meth
    it_accountpayable-pmtmthsupl
    it_accountpayable-pmnt_block
    it_accountpayable-scbank_ind
    it_accountpayable-supcountry
    it_accountpayable-supcountry_iso
    it_accountpayable-bllsrv_ind
    it_accountpayable-alloc_nmbr
      it_accountpayable-item_text  = 'BAPI Test A/P line item'. "#EC NOTEXT
    it_accountpayable-po_sub_no
    it_accountpayable-po_checkdg
    it_accountpayable-po_ref_no
    it_accountpayable-w_tax_code
    it_accountpayable-businessplace
    it_accountpayable-sectioncode
    it_accountpayable-instr1
    it_accountpayable-instr2
    it_accountpayable-instr3
    it_accountpayable-instr4
    it_accountpayable-branch
    it_accountpayable-pymt_cur
    it_accountpayable-pymt_amt
    it_accountpayable-pymt_cur_iso
    it_accountpayable-sp_gl_ind
      append it_accountpayable.
    endform.                    "fill_accountap
          FORM fill_tax                                                 *
    form fill_accounttax.
      clear it_accounttax.
      it_accounttax-itemno_acc = 4.
      it_accounttax-gl_account = '0011361502'.
      it_accounttax-tax_code   = 'A3'.
      it_accounttax-acct_key   = 'VST'.
      it_accounttax-cond_key   = 'MWVS'.
    it_accounttax-itemno_tax = 8.
      append it_accounttax.
    clear it_accounttax.
    it_accounttax-itemno_acc = 7.
    it_accounttax-gl_account = '0011361502'.
    it_accounttax-tax_code   = 'A3'.
    it_accounttax-acct_key   = 'VST'.
    it_accounttax-COND_KEY   = 'MWVS'.
    append it_accounttax.
    clear it_accounttax.
    it_accounttax-itemno_acc = 10.
    it_accounttax-itemno_acc = 9.
    it_accounttax-gl_account = '0011361502'.
    it_accounttax-tax_code   = 'A3'.
    it_accounttax-acct_key   = 'VST'.
    it_accounttax-cond_key   = 'MWVS'.
    it_accounttax-itemno_tax = 4.
    append it_accounttax.
    endform.                    "fill_accounttax
          FORM fill_currencyamount                                      *
    form fill_currencyamount.
      clear it_currencyamount.
      it_currencyamount-itemno_acc   = 1.
      it_currencyamount-curr_type    = '00'.
      it_currencyamount-currency     = 'MXN'.
      it_currencyamount-amt_doccur   = '-7408036.2'.
      append it_currencyamount.
      clear it_currencyamount.
      it_currencyamount-itemno_acc   = 2.
      it_currencyamount-curr_type    = '00'.
      it_currencyamount-currency     = 'MXN'.
      it_currencyamount-amt_doccur   = '5336472.00'.
      append it_currencyamount.
      clear it_currencyamount.
      it_currencyamount-itemno_acc   = 3.
      it_currencyamount-curr_type    = '00'.
      it_currencyamount-currency     = 'MXN'.
      it_currencyamount-amt_doccur   = '3840.00'.
      append it_currencyamount.
      clear it_currencyamount.
      it_currencyamount-itemno_acc   = 4.
      it_currencyamount-curr_type    = '00'.
      it_currencyamount-currency     = 'MXN'.
      it_currencyamount-amt_base   = '5548.00'.
      it_currencyamount-amt_doccur   = '832.2'.
    it_currencyamount-amt_doccur   = '576.00'.
    it_currencyamount-amt_base   = '3840.00'.
      append it_currencyamount.
      clear it_currencyamount.
      it_currencyamount-itemno_acc   = 5.
      it_currencyamount-curr_type    = '00'.
      it_currencyamount-currency     = 'MXN'.
      it_currencyamount-amt_doccur   = '2051279.00'.
      append it_currencyamount.
      clear it_currencyamount.
      it_currencyamount-itemno_acc   = 6.
      it_currencyamount-curr_type    = '00'.
      it_currencyamount-currency     = 'MXN'.
      it_currencyamount-amt_doccur   = '1690.00'.
      append it_currencyamount.
    clear it_currencyamount.
    it_currencyamount-itemno_acc   = 7.
    it_currencyamount-curr_type    = '00'.
    it_currencyamount-currency     = 'MXN'.
    it_currencyamount-amt_base     = '1690.00'.
    it_currencyamount-amt_doccur   = '253.5'.
    append it_currencyamount.
      clear it_currencyamount.
    it_currencyamount-itemno_acc   = 8.
      it_currencyamount-itemno_acc   = 7.
      it_currencyamount-curr_type    = '00'.
      it_currencyamount-currency     = 'MXN'.
      it_currencyamount-amt_doccur   = '13905.00'.
      append it_currencyamount.
      clear it_currencyamount.
    it_currencyamount-itemno_acc   = 9.
      it_currencyamount-itemno_acc   = 8.
      it_currencyamount-curr_type    = '00'.
      it_currencyamount-currency     = 'MXN'.
    it_currencyamount-amt_base     = '2.70'.
      it_currencyamount-amt_doccur   = '18.00'.
      append it_currencyamount.
    clear it_currencyamount.
    it_currencyamount-itemno_acc   = 10.
    it_currencyamount-itemno_acc   = 9.
    it_currencyamount-curr_type    = '00'.
    it_currencyamount-currency     = 'MXN'.
    it_currencyamount-amt_doccur   = '2.70'.
    it_currencyamount-amt_base     = '18.00'.
    append it_currencyamount.
    endform.                    "fill_currencyamount
          FORM fill_criteria                                            *
    form fill_criteria.
    CLEAR it_criteria.
    it_criteria-itemno_acc = 2.
    it_criteria-fieldname = 'BZIRK'.
    it_criteria-character = '000001'.
    append it_criteria.
    endform.                    "fill_criteria
          FORM fill_valuefield                                          *
    form fill_valuefield.
    CLEAR it_valuefield.
    it_valuefield-itemno_acc = 2.
    it_valuefield-fieldname = 'VV010'.
    it_valuefield-curr_type
    it_valuefield-currency = 'EUR'.
    it_valuefield-currency_iso
    it_valuefield-amt_valcom
    it_valuefield-base_uom
    it_valuefield-base_uom_iso
    it_valuefield-qua_valcom
    append it_valuefield.
    endform.                    "fill_valuefield
          FORM fill_extension                                           *
    form fill_extension.
    CLEAR it_ext.
    it_ext-field1
    it_ext-field2
    it_ext-field3
    it_ext-field4
    APPEND it_ext.
    DATA: ls_zzz TYPE ZZZ_ACCIT.
    CLEAR it_ext2.
    it_ext2-structure = 'ZZZ_ACCIT'.
    ls_zzz-posnr = 2.
    ls_zzz-awref_reb = '123654'.
    ls_zzz-aworg_reb = '654654'.
    ls_zzz-grant_nbr = '0022002'.
    MOVE ls_zzz TO it_ext2-valuepart1.
    APPEND it_ext2.
    endform.                    "fill_extension
          FORM fill_paymentcard                                         *
    form fill_paymentcard.
    CLEAR it_paymentcard.
    it_paymentcard-itemno_acc = 1.
    it_paymentcard-cc_glaccount
    it_paymentcard-cc_type
    it_paymentcard-cc_number
    it_paymentcard-cc_seq_no
    it_paymentcard-cc_valid_f
    it_paymentcard-cc_valid_t
    it_paymentcard-cc_name
    it_paymentcard-dataorigin
    it_paymentcard-authamount = '100'.
    it_paymentcard-currency = 'EUR'.
    it_paymentcard-currency_iso
    it_paymentcard-cc_autth_no
    it_paymentcard-auth_refno
    it_paymentcard-auth_date
    it_paymentcard-auth_time
    it_paymentcard-merchidcl
    it_paymentcard-point_of_receipt
    it_paymentcard-terminal
    it_paymentcard-cctyp = '1'.
    APPEND it_paymentcard.
    endform.                    "fill_paymentcard
          FORM fill_contractitem                                        *
    form fill_contractitem.
    CLEAR it_fica_it.
    it_fica_it-itemno_acc
    it_fica_it-cont_acct
    it_fica_it-main_trans
    it_fica_it-sub_trans
    it_fica_it-func_area
    it_fica_it-fm_area
    it_fica_it-cmmt_item
    it_fica_it-funds_ctr
    it_fica_it-fund
    append it_fica_it.
    endform.                    "fill_contractitem
    *&      Form  fill_re
    form fill_re .
    CLEAR it_re.
    it_re-itemno_acc      =
    it_re-business_entity =
    it_re-building        =
    it_re-property        =
    it_re-rental_object   =
    it_re-serv_charge_key =
    it_re-settlement_unit =
    it_re-contract_no     =
    APPEND it_re.
    endform.                    "fill_re
    Please check these links
    http://sap4.com/wiki/index.php?title=BAPI_ACC_DOCUMENT_POST
    http://www.sapfans.com/forums/viewtopic.php?p=76232&sid=b6519d31b5097f49dc303d03b35eed43
    http://sap.ittoolbox.com/groups/technical-functional/sap-dev/bapi_acc_document_post-622561
    Regards,
    Raj.

  • ECC 5.0 BAPI for posting documents only in non-leading ledger

    Hello,
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    Thank you for your help.
    Thomas

    Hi Thomas,
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    Cheers
    Srinivas

  • Bapi for posting IR line item at a time

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  • BAPI for post Tax Amount

    Hi,
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    Regards
    Jana

    Hi,
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    TCodes
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    FB05    Post with Clearing
    FB01    Post Document
    Edited by: Neenu Jose on Nov 18, 2008 1:15 PM
    Edited by: Neenu Jose on Nov 18, 2008 1:16 PM
    Edited by: Neenu Jose on Nov 18, 2008 1:17 PM
    Edited by: Neenu Jose on Nov 18, 2008 1:18 PM

  • BDC / Bapi For  Post Incoming Payment (F-28)

    Hi
    Im creating BDC for F-28. But it got error coming out.
    >> It says DB05B-PSZAH(02) is not an input field.
    What I do is: First, I search for Line Item then Document Number. Then It return to basic list. Then I loop again for the second Line Item Number and Document Number.
    I can activate the first amount but cannot for the next amount and so on.
    Anybody could help me on this??
    Is there any BAPI for Post Incoming Payment (F-28)?
    Thank you.
    Regards.

    i dont think there is a BAPI for this Transaction...
    i have done a BDC on F-28 myself....pasting the code....hope it helps you....
    *******NOTE********
    the parameter in the subroutine is to see if there is a single document or multiple documents being posted.
    FORM fill_bdc_data_f-28_9005 USING p_i_mult_doc TYPE c.
    **BDC from screen 9005
      DATA : l_amt_bdc(13), l_amt_bdc_remain(13), l_amt_bdc_mult(13),
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      REFRESH t_bdcdata.
      PERFORM bdc_dynpro USING 'SAPMF05A' '0103'.
      PERFORM bdc_field USING 'BDC_OKCODE' '=AB'.   "OK CODE - doc overview
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      PERFORM convert_date_to_user_format USING bkpf-bldat.
      PERFORM bdc_field USING 'BKPF-BLDAT' w_date.  "cheque date
      CLEAR w_date.
      PERFORM bdc_field USING 'BKPF-BLART' i_blart.  "doc type
      PERFORM bdc_field USING 'BKPF-BUKRS' i_bukrs.  "comp code
    **get user default date format and pass date in that format
      PERFORM convert_date_to_user_format USING bkpf-budat.
      PERFORM bdc_field USING 'BKPF-BUDAT' w_date.  "posting date
      CLEAR w_date.
      l_period = sy-datum+4(2).
      PERFORM bdc_field USING 'BKPF-MONAT' l_period. "period
      PERFORM bdc_field USING 'BKPF-WAERS' 'INR'.    "currency
      PERFORM bdc_field USING 'BKPF-BKTXT' i_bankl.  "doc. hdr. text
      PERFORM bdc_field USING 'BKPF-XBLNR' i_xblnr.  "Ref. Document No.
      PERFORM bdc_field USING 'BSEG-ZUONR' i_zuonr.  "Assignment(Depot Code)
      PERFORM bdc_field USING 'RF05A-KONTO' i_bank_gl. "Bank GL acc
      PERFORM bdc_field USING 'BSEG-GSBER' i_gsber.  "Business Area
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      PERFORM bdc_field USING 'BSEG-WRBTR' l_amount. "Amount
      PERFORM bdc_field USING 'BSEG-PRCTR' ''.  "Profit Center
    **open items data
      PERFORM bdc_field USING 'RF05A-AGKOA' 'D'.     "Acc type (D=customers)
      PERFORM bdc_field USING 'RF05A-XNOPS' 'X'.     "Std OIs check box
    **end of first screen
    **document overview screen
      PERFORM bdc_dynpro USING 'SAPMF05A' '0700'.    "Overview Screen
      PERFORM bdc_field USING 'BDC_CURSOR' 'RF05A-AZEI1(01)'.     "cursor
      PERFORM bdc_field USING 'BDC_OKCODE' '/00'.     "OK CODE
      PERFORM bdc_field USING 'RF05A-NEWBS' '19'.    "posting key
      PERFORM bdc_field USING 'RF05A-NEWKO' i_kunnr. "customer
      PERFORM bdc_field USING 'RF05A-NEWUM' 'B'.     "Spl GL Indicator
    **for single document selected
      CLEAR l_amt_bdc.
      IF p_i_mult_doc = ''.
    ***new screen - next line item
        PERFORM bdc_dynpro USING 'SAPMF05A' '0303'.
        PERFORM bdc_field USING 'BDC_OKCODE' '=BU'.    "OK CODE
    **for single document, use the bouncing amount calculated earlier
        l_amt_bdc = w_amt_ant_bouncing.
        PERFORM bdc_field USING 'BSEG-WRBTR' l_amt_bdc. "amount
    **due date - same as posting date on screen
    **get user default date format and pass date in that format
        PERFORM convert_date_to_user_format USING bkpf-budat.
        PERFORM bdc_field USING 'BSEG-ZFBDT' w_date.  "due date
        CLEAR w_date.
    **assignment
        CLEAR l_assignment.
        CONCATENATE t_seldoc_ant_bouncing-belnr
                    t_seldoc_ant_bouncing-gjahr INTO l_assignment.
        PERFORM bdc_field USING 'BSEG-ZUONR' l_assignment. "assignment
        PERFORM bdc_field USING 'BSEG-GSBER' i_gsber.
    **if there is some remaining amount, then go for another line item
        IF w_rem_amt_ant_bouncing > 0.
          PERFORM bdc_field USING 'RF05A-NEWBS' '15'.    "posting key
          PERFORM bdc_field USING 'RF05A-NEWKO' i_kunnr. "customer
    **new screen
          PERFORM bdc_dynpro USING 'SAPMF05A' '0301'.
          PERFORM bdc_field USING 'BDC_CURSOR' 'BSEG-ZTERM'. "CURSOR
          PERFORM bdc_field USING 'BDC_OKCODE' '=BU'.    "OK CODE-ENTER
          l_amt_bdc_remain = w_rem_amt_ant_bouncing.
          PERFORM bdc_field USING 'BSEG-WRBTR' l_amt_bdc_remain.
          PERFORM bdc_field USING 'BSEG-ZTERM' '0001'.
    **AGAIN
          PERFORM bdc_dynpro USING 'SAPMF05A' '0301'.
          PERFORM bdc_field USING 'BDC_CURSOR' 'BSEG-WRBTR'. "CURSOR
          PERFORM bdc_field USING 'BDC_OKCODE' '=BU'.    "OK CODE-SAVE
          PERFORM bdc_field USING 'BSEG-WRBTR' l_amt_bdc_remain.
          PERFORM bdc_field USING 'BSEG-ZTERM' '0001'. "pmt term -hardcoded
          PERFORM bdc_field USING 'BSEG-SKFBT' l_amt_bdc_remain.
        ENDIF.
    **multiple documents
      ELSE.
    **initialize remaining amount to amt entered on screen
        l_amt_bdc_mult_remain = bseg-wrbtr.
        LOOP AT t_seldoc_ant_bouncing.
          IF l_amt_bdc_mult_remain > 0.
            IF bseg-wrbtr > t_seldoc_ant_bouncing-rem_amt.
              l_amt_bdc_mult = t_seldoc_ant_bouncing-rem_amt.
            ELSE.
              l_amt_bdc_mult = bseg-wrbtr.
            ENDIF.
    **remaining amt = screen amt - amt calculated above.
            l_amt_bdc_mult_remain = l_amt_bdc_mult_remain - l_amt_bdc_mult.
            PERFORM bdc_dynpro USING 'SAPMF05A' '0303'.
            PERFORM bdc_field USING 'BDC_OKCODE' '=BU'.    "OK CODE
            PERFORM bdc_field USING 'BSEG-WRBTR' l_amt_bdc_mult. "amount
            PERFORM bdc_field USING 'BSEG-GSBER' i_gsber.  "Business Area
    **due date - same as posting date on screen
    **get user default date format and pass date in that format
            PERFORM convert_date_to_user_format USING bkpf-budat.
            PERFORM bdc_field USING 'BSEG-ZFBDT' w_date.  "due date
            CLEAR w_date.
    **assignment
            CLEAR l_assignment.
            CONCATENATE t_seldoc_ant_bouncing-belnr
                        t_seldoc_ant_bouncing-gjahr INTO l_assignment.
            PERFORM bdc_field USING 'BSEG-ZUONR' l_assignment. "assignment
    **posting key 19 for all but last document
            PERFORM bdc_field USING 'RF05A-NEWBS' '19'.    "posting key
            PERFORM bdc_field USING 'RF05A-NEWKO' i_kunnr. "customer
            PERFORM bdc_field USING 'RF05A-NEWUM' 'B'.     "Spl GL
          ENDIF.
        ENDLOOP.
      ENDIF.
    **post remaining amount
      IF p_i_mult_doc = 'X'.
    **new screen if there is some amount left
        IF l_amt_bdc_mult_remain > 0.
    **posting key 15 with remaining amount
          PERFORM bdc_field USING 'RF05A-NEWBS' '15'.    "posting key
          PERFORM bdc_field USING 'RF05A-NEWKO' i_kunnr. "customer
          PERFORM bdc_field USING 'RF05A-NEWUM' ''.     "Spl GL
    **new screen
          PERFORM bdc_dynpro USING 'SAPMF05A' '0301'.
          PERFORM bdc_field USING 'BDC_OKCODE' '=BU'.    "OK CODE
          PERFORM bdc_field USING 'BSEG-WRBTR' l_amt_bdc_mult_remain.
          PERFORM bdc_field USING 'BSEG-ZTERM' '0001'. "pmt term - hardcoded
        ELSE.
    **if no amount is left, no need for a further line item
          PERFORM bdc_field USING 'RF05A-NEWBS' ''.    "posting key
          PERFORM bdc_field USING 'RF05A-NEWKO' ''. "customer
          PERFORM bdc_field USING 'RF05A-NEWUM' ''.     "Spl GL
        ENDIF.
      ENDIF.
    **clear variables
      CLEAR : l_amount, l_assignment, l_amt_bdc,
              l_amt_bdc_remain,l_amt_bdc_mult, l_amt_bdc_mult_remain.
    ENDFORM.                    " fill_bdc_data_F-28_9005

  • FM/BAPI for Parking a document ( FBV1 )

    Hi Experts,
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    Hi Prashant,
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  • Using FM PRELIMINARY_POSTING_FB01 for Posting a Document

    Hi there,
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    Edited by: Rob Burbank on May 5, 2010 10:13 AM

    Dear Sam,
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    I'm on release R/3 4.70x200, but it seems for BUS2081/IncomingInvoice there is no relevant BAPI.
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    Thanks in advance,
    Peter

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