Busines partner type field

Hi  Gurus,
I  need a clarity in a field name Business partner type.In my interaction center I dont  see this.I wud like to  select if its a person,organization or if its a group.But this particular field is not visible in my screen.Iam using UTIL_IC role.Can you pls let me know what  would be the exact setting  to make it visible??
Thanks
crmbug

Hi,
It is not possible for USER Default Print method for Aging Report.
it is possible only for Marketing and Banking Document.
It is possible on PLD but it is not possible in Page Header on Aging Report PLD.
Try this,
->> Open the Aging Report PLD.
for example,
BP Code Field ID in Repetitive Area -> F_110
->> Create 1 formula Field in Repetitive Area Header and put the below formula in that field.
ex. Field ID -> F_160
Substring(F_110,0,1)=='C'
ex. Field ID -> F_161
->> Create 1 formula Field in Repetitive Area Header and put the below formula in that field.
Substring(F_110,0,1)=='V'
->> Create 1 TEXT Field in Repetitive Area Header and type the below text(for Title).
->> Assign Link to Option in General Tab on Properties Window.
Customer Aging Report
Link to - F_160
->> Create 1 TEXT Field in Repetitive Area Header and type the below text(for Title).
Vendor Aging Report
Link to - F_161
Save and Run the Print Preview.
Regards,
Madhan.

Similar Messages

  • Default Ageing Business Partner Report PLD by Busines Partner Type

    Hi Experts!
    I am hoping you can help me with a PLD query I have.
    I have two PLDs setup for the Business Partner Ageing Reports. 
    One PLD is for Debtors and contains a text field showing 'Debtor' and the other PLD is for the Creditors and contains a text field showing 'Creditor'.
    When the Customer Receivables Ageing report is required, the PLD containing 'Debtor' has to be selected, and when the Supplier Liabilities Ageing report is required, the PLD containing 'Creditor' has to be is selected.
    My idea was to set the 'Creditor' PLD to all the Supplier Business Partners and the 'Debtors' PLD to the Customer Business Partners, thus eliminating the need to select a PLD each time. 
    But when I go to the PLD and select set as default, I don't have the option to set by Business Partner, the only option I have is to set the PLD by User.
    Can you help me on this one please?
    Many thanks!
    Caroline

    Hi,
    It is not possible for USER Default Print method for Aging Report.
    it is possible only for Marketing and Banking Document.
    It is possible on PLD but it is not possible in Page Header on Aging Report PLD.
    Try this,
    ->> Open the Aging Report PLD.
    for example,
    BP Code Field ID in Repetitive Area -> F_110
    ->> Create 1 formula Field in Repetitive Area Header and put the below formula in that field.
    ex. Field ID -> F_160
    Substring(F_110,0,1)=='C'
    ex. Field ID -> F_161
    ->> Create 1 formula Field in Repetitive Area Header and put the below formula in that field.
    Substring(F_110,0,1)=='V'
    ->> Create 1 TEXT Field in Repetitive Area Header and type the below text(for Title).
    ->> Assign Link to Option in General Tab on Properties Window.
    Customer Aging Report
    Link to - F_160
    ->> Create 1 TEXT Field in Repetitive Area Header and type the below text(for Title).
    Vendor Aging Report
    Link to - F_161
    Save and Run the Print Preview.
    Regards,
    Madhan.

  • Partner bank type field missing in payment proposal list

    Hi Gurus,
           The partner bank type field is not being displayed in payment proposal list whereas I can display the same in vendor line item display.  Though there is a field named BnkT in the proposal list the partner bank type is not displayed.  Kindly advice me in this regard.
    Regards.

    Hello,
    Please note the system selects the bank with the lowest BVTYP.
    This means that a bank which has no BVTYP will be selected first,
    then one with AAAA, then BBBB. This is the reason why the partner
    bank which you expected was not chosen.
    Please read the F1 help for this field which explains the main purpos
    of this field:
    F1 Help:
    In the business partner's master record:
         If several bank accounts exist in a customer or vendor master
         record, you can assign different keys for these accounts.
    In the item:
         To use a particular bank of the business partner for the payment
         an item, enter the appropriate key in the item. The payment prog
         then pays the item via the business partner's predefined bank.
    Here you can enter, for example a number, 0001.
    Then, when you post a document with the transaction FB01 or F-42, you
    can display the field 'Partner bank type' (BSEG-BVTYP). Here you can
    write the number 0001 or another number for another bank of the same
    vendor. Afterwards, you can post this document.
    Also, you can use Business Transaction Event (Open-FI) 00001810 to
    implement your own algorithm to select a bank. For details, see the
    documentation of the sample function module SAMPLE_PROCESS_00001810.
    Also review below notes in the same context about "F110: partner bank
    type".
    363219 - F110: Wrong partner bank after proposal run maintnc
    390740 - F110: partner bank type not in clearing line of payment doc
    Hope this clarifies the system behaviour.
    regards
    Ray

  • How the Partner Bank type field in Customer master is used ??

    Hi,
    When 2 bank accounts are maintained in the customer master. In the Bank type field ( Partner Bank type), I give X and Y for these 2 bank accounts.
    When an invoice is raised for this customer thru Sales order, I am not able to give this partner bank type i.e X or Y in the Invoice, since the invoice is automatically created.
    If I raise thru FB70, I am able to give this X or Y.
    How can I use this Partner Bank type field when I raise sales invoice thru Sales order.
    Can anyone help me on this as early as possible.
    Regards,
    G.Ameet karthikeyan.

    Hi Experts,
    We have executed an automatic payment run in F110. Status of payment proposal and payment run are successful. Postings orders: 1 generated and 1 completed.
    However, the payment method used in the payment run is incorrect.  Instead of 'D', the user mistakenly inputted C. Kindly advise what is the purpose of Payment method in F110 and what will happen if the payment method used is incorrect and different from the one maintained in the vendor master.

  • Which value should I send for the field "business partner type " in DTW

    I need your help. I am trying to create a new business partner using DTW. Please let me know wich possible values should I send to DTW for the field "Business Partner Type" (this label appears on sap-bo when enteringa new BP).
    The database field name is OCRD.cmpprivate, so I tried to find the related field in the input file and I found "CompanyPrivate" is this the corresponding field for the "business partner type"?
    I have been trying with the following values but the DTW fails with the error "invalid item name in enum BoCardCompanyTypes":
    tYES
    tNO
    cCompany
    cPerson
    I
    C
    cI
    cC
    Thank you for your help
    Jorge Manzo

    Please note: I use DTW Version 88.1.7; API Version 8.81.319
    To set  CmpPrivate (it is exactly BoCardCompanyTypes) use following:
    cCompany - Card represent a company.
    cPrivate - Card represent a private person.
    To set CardType see Godon's replay.
    A lot of info you can find in "SAP Business One SDK - Help Center" docs.
    Thanks,
    Grzegorz

  • Problem with External List Management; Business Partner Type

    Hello experts;
    I created a mapping format for importing a simple notepad file. In the ELM i see all my fields populated correctly. Once i start the importing process it goes smoothly with no mistakes at all (green lights). The bp is actually imported and i can see it in the BP transaction with most of the fields correctly imported BUT the business partner type (PERS_PERS_BPKIND in ELM). For this field i have a Constant Assignment which is always HH and because of that i don't have it in my notepad file but i pass the value directly from ELM constant assignement=HH. Unfortunately this value is not copied. Any idea? Am i doing something wrong or i'm loosing some steps in between?
    Thank you very much

    Hello,
    the issue is most probably related to missing authorizations. As you know the processing in external list management happens in the background using WF-BATCH user.
    Please check the following notes:
    708557 - 'ELM: Troubleshooting' point 1.
    https://service.sap.com/sap/support/notes/708557
    1912414 - ELM upload: Error in the map data-step
    https://service.sap.com/sap/support/notes/1912414
    1664498 - External List will not execute
    https://service.sap.com/sap/support/notes/1664498
    The information provided in the notes should help to solve the issue.
    best regards,
    Johannes

  • DOCUMENT SPILTTING ON BASIS OF TRADING PARTNER(VBUND) FIELD

    Dear Friends
    We are on ECC 5.0, we have activated document splitting on BUSINESS AREA basis..
    As for new requirement for consolidated financial reports, we have also added TRADING PARTNER(vbund) field for document splitting ..
    We have define companies(trading partner), assign them to relevant customer and vendor master.
    Also have tick INTER COMPANY POSTING AND TRADING PARTNER field in document types(OBA7)
    in documents, with vendor and customer relevant line items trading partner is coming automatically..
    for G/L related line items we want that trading partner should come automatically through document splitting ..
    please note that we cant assign trading partner with G/Ls in chart of accounts as same G/Ls can be used with different different trading partner at the same time..
    Kindly help me in this issue..
    Regards
    Expertia..

    Document Splitting is too complex a concept for Substitution.  If you have to just copy the Business partner to the missing lines, then you can use substitution.  But if you have more than one BP in any entry and the transaction has to generate entries accordingly to balance it, substitution cannot do that.
    If you are trying to split on any field other than Business Area, Profit Center and Segment, it involves a lot of work in terms of configuration and development.  You have to develop your custom routine to enable splitting on your selected field (VBUND) in your case.
    If I remember right, there is a consulting note which explains a brief summary of what is to be done for having Document splitting on custom fields.  You can try searching Service Market place.
    Ravi.

  • LSMW Upload SalesOrder Creation:problem in assigning Partner type SH and SP

    Hi
    I'm trying to upload sales order creation data using LSMW -BAPI Method
    Business Object : BUS2032
    Method : CREATEFROMDAT2
    Message type : SALESORDER_CREATEFROMDAT2
    Basic Type : SALESORDER_CREATEFROMDAT202
    and I'm passing the following header data
    Sales Order Type, Sales organisation, Distribution Channel, Division, Sold To Party, Ship To party,
    Purchase order number, PO Date, Requested delivery date, Order Reason, Payment terms, Incoterms part1, Incoterms part2, Document Currency.
    and the following item data
    MATERIAL NUMBER
    Order quantity
    Storage Location
    Item Category
    Item Usage
    Reason for Rejection
    Plant
    Net Weight
    Gross Weight
    Condition Type
    Amount
    Internal Order Number
    I'm assigning the header data to structure <b>E1BPSDHD1</b>
    and Item data to <b>E1BPSDITM,E1BPSDITM1</b>
    and Partner data to structure <b>E1BPPARNR</b>.
    When I am assigning Partner data to the structure E1BPPARNR, I want to assign both <b>sold-to-party</b> and <b>ship-to-party</b> ,(because I have two source fields of this type) but there is only target field related to the partner data , here I am assigning <b>partner type as SP</b> and <b>partner number as sold-to-party</b>, still there is an unassigned field ship-to-party, for this field I am unable to find a relevant target field so please help me how can I assing These two flat file fields <b>(sold-to-party,ship-to-party)</b>
    Looking for further more information : if there is many sold-to-party's and many ship-to-party's how can I go that in this situation i.e maintaining  Many to Many relationship using LSMW tool
    Thanks in advance
    regards
    Rajasekhar

    Here is what you have to do.
    In field mapping, double click on the field PARTN_NUMB (or any field of that structure) in change mode. This opens up the code editor. There just enter the following code. I am assuming you are doing only these fields. But if you are mapping more fields of this structure, you have to map them here.
    E1BPPARNR-PARTN_NUMB = ORDERHEADER-KUNAG.
    E1BPPARNR-PARTN_ROLE = 'AG'.
    E1BPPARNR-ITM_NUMBER = '000000'.
    *-- add more field mappings here, if needed
    TRANSFER_RECORD.   
    *-- Now pass the Ship-to record          
    E1BPPARNR-PARTN_NUMB = ORDERHEADER-KUNWE.
    E1BPPARNR-PARTN_ROLE = 'WE'.
    E1BPPARNR-ITM_NUMBER = '000000'.
    *-- Add more partners if needed by copying the above code.
    Remember, you need to do TRANSFER_RECORD only that many times as you have the partners. There will be one 'TRANSFER_RECORD' at the end of this structure, so keep that in mind.
    Srinivas

  • Need F4 Help for custom container element based on partner type

    Hi Friends
    I am displaying customer details in custom container .In that custom container I have a field Partner number,Partner type etc etc..
    I included F4 help for partner number field, In that I referenced the following field.Now its coming perfectly.
      wa_cat1-f4availabl = 'X'.
       wa_cat1-ref_table = 'KNA1'.
      wa_cat1-ref_field = 'KUNNR'.
    But as per my requirement, customer wants to get the different F4 help when the partner type eq "Contact Person".
    Rest of the partner type(Ship to party, Sold to party,Reseller, End user) should show the above one.
    So I dont know, where I have to change, because in the field catelod level there is no option to control particular type in the column.
    Kindly help me on this.
    Thanks
    Gowrishankar

    Hi Jose
    Thanks for your Input.I created Event Receiver than Defined and implemented a method to get F4 help for customer number and email id field.Already F4 help is available for Email ID.Now I want to Include the F4 help for partner number field, it will call the search help based on partner type.I can able to get the partner number field search help, but F4 help is not working for email id.
    I am not sure some whee its over writing some values or I am not sure.If I comment partner number F4 help class, I can able to get the F4 help for email address.
    Plz guide to me to fix the same.
    Thanks
    Gowrishankar

  • Making the 2LIS_11_VAITM extractor know about custom partner types

    In R3, I've added two new partner types that can be assigned to an order: Z4 - Reseller and Z7 - End User.
    I've coded a user exit to populate these two fields.
    The problem I am having is that on an order change, if the user changes only the customer numbers of these two partners, the 2LIS_11_VAITM extractor does not see that the order changed and does not send before/after images to BW.
    I understand that these are not standard partner types which the extractor is coded to determine if there's been a change.  However how can I make the extractor know that I want to send changes to these two partner types to BW?

    Hi,
    you need to enhance the extract structures in the old LIS exits.
    MCS10001 for Orders
    MCS50001 for deliveries
    MCS60001 for invoices
    there you have the x- and y-tables available (like in the sd-user-exit save-document_prepare) and can control the update of pre an after images.
    the you need to raise the event that allows the extractor "to extract". It fairly complex as far as I know.
    is it an option to model the two partner roles as Navigational attribute to Document-Number? It's far easier and you can maintain document as line item dimension in the cube and you will always have the current PartnerRole.
    much easier as above described extraction ...
    hth
    cheers
    sven

  • Business Partner Types

    Hi Experts,
    Under the SAP IMG -> Cross Application component, there is a function named, Business Partner Types. Can you please explain me what is the use of this in real time. Please explain this with real time example.
    Thanks
    Edited by: Navneet Singh Rana on Sep 29, 2011 2:45 PM

    Hello, I'll try to be as clear as possible
    BP types mean the classes of BPs that you segment in your company. SAP delivers 2 "dummy" types, but you must create your own. Depending on the business partner type, you will be able to hide or show certain fields in your BP screen, making easier access to the information for backend or front office agents.
    Now, imagine you work in a Sales Office. You have  premium customers and non-premium customers. For premium customers, you want a BP screen where you can see their special features (such as, say, the monthly income), and for non-premium, you don't want to show these features. In this case you would define ZVIP and ZNON partner types and, in another customizing task, you will be able to define which fields are visible display only or mandatory for your ZVIP and ZNON customers.
    When you create a BP, you assign the ZVIP or ZNON so system can show certain fields or not.
    I hope it was clear enough
    Joaquin

  • Is it possible to assign a partner type to a BP role automatically

    Hi all,
    I have over 60 roles to customize (Fields Groupings in SPRO) and i'm trying to group them into a single customizing action.
    All these roles have same attributes but i need to make a geopraphic distinction.
    In field groupings spro it is possible to "Configure Field Attributes per Business Partner Type" but i realize that Partner Type is to be set on master data by user hence my will to assign the partner type automatically to a role or a group of roles when a user creates a partner.
    Is it possible? if no, is there any other way to set field attributes for 1 role instead of 60?
    Well any advice would be welcome.
    Many thanks
    Laurent Monza

    Hi Laurent,
    As standard SAP it is not possible to define default BP type for specific roles. But you can use some Badi or Function Modules to do the same.
    Regards
    Arun Kumar

  • Create Partner Bank Field in the Layout

    Hi Friends,
    My requirement is, in the vendor Line item report(FBL1N), I want to add the Partner bank Type field in the layout which is not available. Is there any option we can create our own without the help of ABAPer.
    Regards,
    Anil

    Hi Anil,
    Of course you can - SPRO: Financial accounting - Accounts receivable and payable - Vendor accounts - Line items - Display line items - Define additonal fields for line item display (view V_T021S) and add table BSEG, field BVTYP.
    Good luck!

  • Search By Partner type

    Hi,
    We are using BP_HEAD_MAIN component for our WEB-UI. I have put standard field called Partner type on the screen I have enhanced CL_BUPA_HEADER class to search through partner type in the Bol Browser when I enter parameter Partner type '01' I am getting respective result. But when I lunch BP_HEAD_MAIN application
    and enter partner type '01' I am getting message no accounts found.
    Can any please help me in resolving this issue.
    Regards
    GSR

    Hello Satheesh,
    My only suggestion is to put a breakpoint in your BOL application and test your search from Web UI to see if the value propagates from UI to BOL.
    Best Regards,
    Yevgen

  • Erro Partner type na MR8M

    Boa tarde, ao tentarmos utilizar a transação MR8M para reversão de um documento contábil, criado com moeda incorreta USD em vez de BRL, temos a seguinte mensagem de erro. Alguém já passou por esse problema:
    NF de entrada 000004969-1 u2013 Doc. 94928
    Partner type  not found
    Message no. 8B109
    Diagnosis
    The Partner type entered is not maintained in the system.
    System Response
    The system does not recover the function module to read the partner data.
    Procedure
    Please enter an existing Partner type or maintain the table Partner type or assign the correct Partner type to the Nota Fiscal Partner function id.
    Muito obrigada
    Fabiana

    Bom dia Fabiana,
    Verifique a SAP Note abaixo:
    1422287 - MR8M: 8B 109 Type of partner not found with doc type 4 or 7.        
    Atenciosamente, Fernando Da Ró

Maybe you are looking for

  • Help needed in threads

    hi, Iam using the stop() from the API.But since it is deprecated I dont want to use it.Is there any way by which I could replace it ?I need to make changes in thousands of files. Any sample code for avoiding stop() wud be of immense help.

  • Creative MuV

    [size="3" face="Comic Sans MS">hey,[size="3" face="Comic Sans MS">I've got a problem with this mp?-player (MuVo?)[size="3" face="Comic Sans MS">The MuVo shows me only 'recovery mode v.00' [size="3" face="Comic Sans MS">at the display.[size="3" face="

  • Virus? my friend told me that he has received 24 msgs from me? do I have a virus? how can I find out and clean it?

    And my internet keeps shutting down all the time and the all system is very slow. pls help.

  • Date format conversation in OBIEE

    Hello guys I am a quick question about how to stop OBIEE from using to_date conversation? The date format in the db is dd/month/yy, and when I run any report in OBIEE answer using Date columns, it will always convert the format to "dd/mm/YYYY". The s

  • Problem with latest Update IOS 6.1.2 in Itunes

    Ipod 5th Generation after re-establishment always in factory state. What can I do now? Ipod always tells to connect with Itunes. But even when I connect with Itunes I can't update the latest Softwareupdate (IOS 6.1.2). Hope you'll be able to help me.