Can i give b AT END OF /b   with condition

Hi experts
can i give AT END OF   with condition
like that
AT END OF  MATNR WITH KEY WERKS = 'CCRC'.
OR LIKE DAT
AT END OF  MATNR WHERE  WERKS = 'CCRC'..
can we give like that or not
if not then how
Thanks & Regards
Prashant gupta

Hi,
check this sample code....
if you comment if condition it will give you many results and if you dont comment the if condition inside the loop it only gives the resuts of carrid which has A in it.....
DATA : t_spfli TYPE TABLE OF spfli.
DATA : spfli TYPE spfli.
SELECT * FROM spfli INTO TABLE t_spfli.
LOOP AT t_spfli INTO spfli.
  IF spfli-carrid CS 'A'.
    AT END OF carrid.
      WRITE spfli-carrid.
    ENDAT.
  ENDIF.
ENDLOOP.
Regards,
Siddarth

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              gt_bsad                   LIKE gt_bsid_bsad,
              gt_bsik                   LIKE gt_bsid_bsad,
              gt_bsak                   LIKE gt_bsid_bsad,
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              gt_importation_docs_due   LIKE gt_cash_in_bank,
              wa_importation_docs_due   LIKE LINE OF gt_importation_docs_due,
              wa_cash_in_bank           LIKE LINE OF gt_cash_in_bank,
              gt_outs_trade_coll        TYPE HASHED TABLE OF t_outs_trade_coll
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              wa_outs_trade_coll        LIKE LINE OF gt_outs_trade_coll,
              gt_zcheck_monitor         TYPE STANDARD TABLE OF t_zcheck_monitor,
              gt_zcheck_monitor_collect TYPE HASHED TABLE OF t_zcheck_monitor_collect
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              wa_outs_rel_checks        LIKE LINE OF gt_outs_rel_checks,
              gt_outs_unrel_checks      LIKE gt_cash_in_bank,
              wa_outs_unrel_checks      LIKE LINE OF gt_outs_unrel_checks,
              gt_company                TYPE HASHED TABLE OF t_company
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              wa_company                LIKE LINE OF gt_company,
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              wa_header                 LIKE LINE OF gt_header.
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                     im_hkont TYPE bsis-hkont
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                     im_bukrs TYPE bsis-bukrs
                     im_hkont TYPE bsis-hkont
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                     im_hkont TYPE bsis-hkont
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                     im_date  TYPE bsis-budat
                     im_bukrs TYPE bsis-bukrs
                     im_hkont TYPE bsis-hkont
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              lr_blart           TYPE RANGE OF bsik-blart,
              wa_blart           LIKE LINE OF lr_blart,
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              lv_hkont_old       TYPE bsis-hkont,
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              lv_tot_cash_bal       TYPE t_output-tot_cash_bal,
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           AND hktid IN s_hktid.
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        APPEND LINES OF gt_bsis TO gt_bsis_bsas.
        APPEND LINES OF gt_bsas TO gt_bsis_bsas.
        IF NOT gt_bsis_bsas[] IS INITIAL.
          CALL METHOD me->get_cust_items.
          CALL METHOD me->get_vend_items.
          CALL METHOD me->sum_gl_accounts.
        ENDIF.
      ENDMETHOD.                    "get_gl_balances
    METHOD get_cust_items
      METHOD get_cust_items.
      Get customer line items(Open items)
        SELECT bukrs belnr gjahr blart
               buzei budat dmbtr shkzg
               bschl
          FROM bsid
          INTO TABLE gt_bsid
           FOR ALL ENTRIES IN gt_bsis_bsas
         WHERE bukrs = gt_bsis_bsas-bukrs
           AND gjahr = gt_bsis_bsas-gjahr
           AND belnr = gt_bsis_bsas-belnr.
      Get customer line items(Cleared items)
        SELECT bukrs belnr gjahr blart
               buzei budat dmbtr shkzg
               bschl
          FROM bsad
          INTO TABLE gt_bsad
           FOR ALL ENTRIES IN gt_bsis_bsas
         WHERE bukrs = gt_bsis_bsas-bukrs
           AND gjahr = gt_bsis_bsas-gjahr
           AND belnr = gt_bsis_bsas-belnr.
        APPEND LINES OF gt_bsid TO gt_bsid_bsad.
        APPEND LINES OF gt_bsad TO gt_bsid_bsad.
      ENDMETHOD.                    "get_cust_items
    METHOD get_vend_items
      METHOD get_vend_items.
      Get vendor line items(Open items)
        SELECT bukrs belnr gjahr blart
               buzei budat dmbtr shkzg
               bschl
          FROM bsik
          INTO TABLE gt_bsik
           FOR ALL ENTRIES IN gt_bsis_bsas
         WHERE bukrs = gt_bsis_bsas-bukrs
           AND gjahr = gt_bsis_bsas-gjahr
           AND belnr = gt_bsis_bsas-belnr.
        DEFINE m_blart.
          wa_blart-sign   = 'I'.
          wa_blart-option = 'EQ'.
          wa_blart-low    = &1.
          append wa_blart to lr_blart.
          clear wa_blart.
        END-OF-DEFINITION.
        m_blart lc_k3.
        m_blart lc_k4.
        m_blart lc_k5.
        m_blart lc_k6.
        m_blart lc_k7.
        m_blart lc_kb.
        m_blart lc_kd.
        IF NOT gt_bsik[] IS INITIAL AND NOT lr_blart[] IS INITIAL.
          DELETE gt_bsik WHERE blart NOT IN lr_blart[].
          DELETE gt_bsik WHERE bschl <> lc_31.
        ENDIF.
      ENDMETHOD.                    "get_vend_items
    METHOD sum_gl_accounts
      METHOD sum_gl_accounts.
        FIELD-SYMBOLS: <fs_bsis_bsas>         LIKE LINE OF gt_bsis_bsas,
                       <fs_bsis>              LIKE LINE OF gt_bsis,
                       <fs_bsid_bsad>         LIKE LINE OF gt_bsid_bsad,
                       <fs_bsik>              LIKE LINE OF gt_bsik,
                       <fs_outs_rel_checks>   LIKE LINE OF gt_outs_rel_checks,
                       <fs_outs_unrel_checks> LIKE LINE OF gt_outs_unrel_checks.
        SORT gt_bsis_bsas BY bukrs hkont belnr.
        LOOP AT gt_bsis_bsas ASSIGNING <fs_bsis_bsas>.
          IF <fs_bsis_bsas>-shkzg = lc_credit.   "H
            MULTIPLY <fs_bsis_bsas>-dmbtr BY -1.
          ENDIF.
    */Routine for cash in bank
          IF <fs_bsis_bsas>-hkont CP lc_gl_zero.
            MOVE-CORRESPONDING <fs_bsis_bsas> TO wa_cash_in_bank.
            COLLECT wa_cash_in_bank INTO gt_cash_in_bank.
            CLEAR wa_cash_in_bank.
          ENDIF.
    */Routine for miscellaneous collection
          IF <fs_bsis_bsas>-blart = lc_nt OR
             <fs_bsis_bsas>-blart = lc_nc AND
             <fs_bsis_bsas>-shkzg = lc_debit AND
             <fs_bsis_bsas>-hkont CP lc_gl_one.
            READ TABLE gt_bsid_bsad ASSIGNING <fs_bsid_bsad> WITH TABLE KEY bukrs = <fs_bsis_bsas>-bukrs
                                                                            belnr = <fs_bsis_bsas>-belnr
                                                                            gjahr = <fs_bsis_bsas>-gjahr
                                                                            blart = <fs_bsis_bsas>-blart.
            IF sy-subrc = 0.
              MOVE-CORRESPONDING <fs_bsis_bsas> TO wa_misc_collection.
              COLLECT wa_misc_collection INTO gt_misc_collection.
              CLEAR wa_misc_collection.
            ENDIF.
          ENDIF.
    */Routine for importation docs.due
          IF <fs_bsis_bsas>-shkzg = lc_credit.
            READ TABLE gt_bsik ASSIGNING <fs_bsik> WITH TABLE KEY bukrs = <fs_bsis_bsas>-bukrs
                                                                  belnr = <fs_bsis_bsas>-belnr
                                                                  gjahr = <fs_bsis_bsas>-gjahr
                                                                  blart = <fs_bsis_bsas>-blart.
            IF sy-subrc = 0.
              MOVE-CORRESPONDING <fs_bsis_bsas> TO wa_importation_docs_due.
              COLLECT wa_importation_docs_due INTO gt_importation_docs_due.
              CLEAR gt_importation_docs_due.
            ENDIF.
          ENDIF.
        ENDLOOP.
        IF NOT gt_bsis[] IS INITIAL.
          IF NOT gt_bsis[] IS INITIAL.
            lv_budat = p_budat.
            CALL FUNCTION 'DATE_TO_DAY'
              EXPORTING
                date    = lv_budat
              IMPORTING
                weekday = lv_day.
            LOOP AT gt_bsis ASSIGNING <fs_bsis>.
    */Routine for outstanding trade collection
              IF <fs_bsis>-shkzg = lc_debit AND <fs_bsis>-blart <> lc_nt.
                IF lv_day = lc_monday.
                  CALL METHOD me->monday_routines
                    EXPORTING
                      im_date  = p_budat
                      im_bukrs = <fs_bsis>-bukrs
                      im_hkont = <fs_bsis>-hkont
                      im_budat = <fs_bsis>-budat
                      im_dmbtr = <fs_bsis>-dmbtr.
                ELSEIF lv_day = lc_sunday.
                  CALL METHOD me->sunday_routines
                    EXPORTING
                      im_date  = p_budat
                      im_bukrs = <fs_bsis>-bukrs
                      im_hkont = <fs_bsis>-hkont
                      im_budat = <fs_bsis>-budat
                      im_dmbtr = <fs_bsis>-dmbtr.
                ELSEIF lv_day = lc_tuesday.
                  CALL METHOD me->tuesday_routines
                    EXPORTING
                      im_date  = p_budat
                      im_bukrs = <fs_bsis>-bukrs
                      im_hkont = <fs_bsis>-hkont
                      im_budat = <fs_bsis>-budat
                      im_dmbtr = <fs_bsis>-dmbtr.
                ELSE.
                  CALL METHOD me->other_days_routines
                    EXPORTING
                      im_date  = p_budat
                      im_bukrs = <fs_bsis>-bukrs
                      im_hkont = <fs_bsis>-hkont
                      im_budat = <fs_bsis>-budat
                      im_dmbtr = <fs_bsis>-dmbtr.
                ENDIF.
              ENDIF.
    */Routine for outstanding released checks
              IF <fs_bsis>-hkont CP lc_gl_three AND <fs_bsis>-shkzg = lc_debit.
                MOVE-CORRESPONDING <fs_bsis> TO wa_outs_rel_checks.
                COLLECT wa_outs_rel_checks INTO gt_outs_rel_checks.
                CLEAR wa_outs_rel_checks.
    */Routine for outstanding unreleased checks
              ELSEIF <fs_bsis>-hkont CP lc_gl_three AND <fs_bsis>-shkzg = lc_credit.
                MOVE-CORRESPONDING <fs_bsis> TO wa_outs_unrel_checks.
                COLLECT wa_outs_unrel_checks INTO gt_outs_unrel_checks.
                CLEAR wa_outs_unrel_checks.
              ENDIF.
            ENDLOOP.
          ENDIF.
        ENDIF.
    */Routine for outstanding released check/s
    */this routine will get all records from custom table zcheck_monitor
    */where status is released to vendor
        CALL METHOD me->outs_check_released.
        IF NOT gt_outs_rel_checks[] IS INITIAL.
        Subtract debit line items from ZFE002
          LOOP AT gt_outs_rel_checks ASSIGNING <fs_outs_rel_checks>.
            CLEAR wa_zcheck_monitor_collect.
            READ TABLE gt_zcheck_monitor_collect INTO wa_zcheck_monitor_collect
                                                 WITH TABLE KEY zzbukr = <fs_outs_rel_checks>-bukrs
                                                                zubhkt = <fs_outs_rel_checks>-hkont.
            IF sy-subrc = 0.
              <fs_outs_rel_checks>-dmbtr = wa_zcheck_monitor_collect-zrwbtr -
                                           <fs_outs_rel_checks>-dmbtr.
            ELSE.
              <fs_outs_rel_checks>-dmbtr = 0 - <fs_outs_rel_checks>-dmbtr.
            ENDIF.
          ENDLOOP.
        ENDIF.
        IF NOT gt_outs_unrel_checks[] IS INITIAL.
        Subtract ZFE002 records from credit line items
          LOOP AT gt_outs_unrel_checks ASSIGNING <fs_outs_unrel_checks>.
            CLEAR wa_zcheck_monitor_collect.
            READ TABLE gt_zcheck_monitor_collect INTO wa_zcheck_monitor_collect
                                                 WITH TABLE KEY zzbukr = <fs_outs_unrel_checks>-bukrs
                                                                zubhkt = <fs_outs_unrel_checks>-hkont.
            IF sy-subrc = 0.
              <fs_outs_unrel_checks>-dmbtr =  ABS( <fs_outs_unrel_checks>-dmbtr ) -
                                              ABS( wa_zcheck_monitor_collect-zrwbtr ).
            ENDIF.
          ENDLOOP.
        ENDIF.
      Move records to output table
        CALL METHOD me->process_data.
      ENDMETHOD.                    "sum_gl_accounts
    METHOD monday_routines
      METHOD monday_routines.
        wa_outs_trade_coll-bukrs   = im_bukrs.
        wa_outs_trade_coll-hkont   = im_hkont.
        CLEAR lv_date.
        CALL METHOD me->difference_in_days
          EXPORTING
            im_date  = im_date
            im_budat = im_budat
          IMPORTING
            ex_diff  = lv_date.
      One day
        IF lv_date = 3.
          wa_outs_trade_coll-one_day = im_dmbtr.
      Two days
        ELSEIF lv_date = 4.
          wa_outs_trade_coll-two_days = im_dmbtr.
      More than two days
        ELSEIF lv_date > 4.
          wa_outs_trade_coll-more_than_two_days = im_dmbtr.
        ENDIF.
        COLLECT wa_outs_trade_coll INTO gt_outs_trade_coll.
        CLEAR wa_outs_trade_coll.
      ENDMETHOD.                    "monday_routines
    METHOD sunday_routines
      METHOD sunday_routines.
        wa_outs_trade_coll-bukrs   = im_bukrs.
        wa_outs_trade_coll-hkont   = im_hkont.
        CLEAR lv_date.
        CALL METHOD me->difference_in_days
          EXPORTING
            im_date  = im_date
            im_budat = im_budat
          IMPORTING
            ex_diff  = lv_date.
      One day
        IF lv_date = 2.
          wa_outs_trade_coll-one_day = im_dmbtr.
      Two days
        ELSEIF lv_date = 3.
          wa_outs_trade_coll-two_days = im_dmbtr.
      More than two days
        ELSEIF lv_date > 3.
          wa_outs_trade_coll-more_than_two_days = im_dmbtr.
        ENDIF.
        COLLECT wa_outs_trade_coll INTO gt_outs_trade_coll.
        CLEAR wa_outs_trade_coll.
      ENDMETHOD.                    "sunday_routines
    METHOD tuesday_routines
      METHOD tuesday_routines.
        wa_outs_trade_coll-bukrs   = im_bukrs.
        wa_outs_trade_coll-hkont   = im_hkont.
        CLEAR lv_date.
        CALL METHOD me->difference_in_days
          EXPORTING
            im_date  = im_date
            im_budat = im_budat
          IMPORTING
            ex_diff  = lv_date.
      One day
        IF lv_date = 1.
          wa_outs_trade_coll-one_day = im_dmbtr.
      Two days
        ELSEIF lv_date = 4.
          wa_outs_trade_coll-two_days = im_dmbtr.
      More than two days
        ELSEIF lv_date > 4.
          wa_outs_trade_coll-more_than_two_days = im_dmbtr.
        ENDIF.
        COLLECT wa_outs_trade_coll INTO gt_outs_trade_coll.
        CLEAR wa_outs_trade_coll.
      ENDMETHOD.                    "tuesday_routines
    METHOD other_days_routines
      METHOD other_days_routines.
        wa_outs_trade_coll-bukrs   = im_bukrs.
        wa_outs_trade_coll-hkont   = im_hkont.
        CLEAR lv_date.
        CALL METHOD me->difference_in_days
          EXPORTING
            im_date  = im_date
            im_budat = im_budat
          IMPORTING
            ex_diff  = lv_date.
      One day
        IF lv_date = 1.
          wa_outs_trade_coll-one_day = im_dmbtr.
      Two days
        ELSEIF lv_date = 2.
          wa_outs_trade_coll-two_days = im_dmbtr.
      More than two days
        ELSEIF lv_date > 3.
          wa_outs_trade_coll-more_than_two_days = im_dmbtr.
        ENDIF.
        COLLECT wa_outs_trade_coll INTO gt_outs_trade_coll.
        CLEAR wa_outs_trade_coll.
      ENDMETHOD.                    "other_days_routines
    METHOD difference_in_days
      METHOD difference_in_days.
        CALL FUNCTION 'FIMA_DAYS_AND_MONTHS_AND_YEARS'
          EXPORTING
            i_date_from          = im_budat
          I_KEY_DAY_FROM       =
            i_date_to            = im_date
          I_KEY_DAY_TO         =
          I_FLG_SEPARATE       = ' '
          IMPORTING
            e_days               = ex_diff.
          E_MONTHS             =
          E_YEARS              =
      ENDMETHOD.                    "difference_in_days
    METHOD outs_check_released
      METHOD outs_check_released.
        FIELD-SYMBOLS: <fs_zcheck_monitor> LIKE LINE OF gt_zcheck_monitor.
        SELECT zzbukr zhbkid zhktid
               zubhkt zrwbtr zrlsvd
               zrlsdt
          FROM zcheck_monitor
          INTO TABLE gt_zcheck_monitor
         WHERE zrlsvd <> space.
        IF NOT gt_zcheck_monitor[] IS INITIAL.
          LOOP AT gt_zcheck_monitor ASSIGNING <fs_zcheck_monitor>.
            MOVE-CORRESPONDING <fs_zcheck_monitor> TO wa_zcheck_monitor_collect.
            COLLECT wa_zcheck_monitor_collect INTO gt_zcheck_monitor_collect.
            CLEAR wa_zcheck_monitor_collect.
          ENDLOOP.
        ENDIF.
      ENDMETHOD.                    "outs_check_released
    METHOD process_data
      METHOD process_data.
        FIELD-SYMBOLS: <fs_t012k>             LIKE LINE OF gt_t012k,
                       <fs_company>           LIKE LINE OF gt_company,
                       <fs_cash_in_bank>      LIKE LINE OF gt_cash_in_bank,
                       <fs_outs_trade_coll>   LIKE LINE OF gt_outs_trade_coll,
                       <fs_misc_collection>   LIKE LINE OF gt_misc_collection,
                       <fs_outs_rel_checks>   LIKE LINE OF gt_outs_rel_checks,
                       <fs_outs_unrel_checks> LIKE LINE OF gt_outs_unrel_checks.
        SORT gt_t012k BY bukrs hbkid.
        LOOP AT gt_t012k ASSIGNING <fs_t012k>.
          AT NEW hbkid.
            READ TABLE gt_company ASSIGNING <fs_company>
                                  WITH TABLE KEY bukrs = <fs_t012k>-bukrs.
            IF sy-subrc = 0.
              wa_header-bukrs = <fs_company>-bukrs.
              wa_header-butxt = <fs_company>-butxt.
              wa_header-hbkid = <fs_t012k>-hbkid.
             wa_header-hktid = <fs_t012k>-hktid.
              APPEND wa_header TO gt_header.
              CLEAR wa_header.
            ENDIF.
          ENDAT.
          wa_output-bukrs = <fs_t012k>-bukrs.
          wa_output-hbkid = <fs_t012k>-hbkid.
          wa_output-hktid = <fs_t012k>-hktid.
        Move cash in bank
          READ TABLE gt_cash_in_bank ASSIGNING <fs_cash_in_bank>
                                     WITH TABLE KEY bukrs = <fs_t012k>-bukrs
                                                    hkont = <fs_t012k>-hkont.
          IF sy-subrc = 0.
            wa_output-cash_in_bank = <fs_cash_in_bank>-dmbtr.
            ADD wa_output-cash_in_bank TO wa_output-tot_cash_bal.
          ENDIF.
          CLEAR lv_hkont.
          lv_hkont = <fs_t012k>-hkont.
          ADD 1 TO lv_hkont.
          CALL FUNCTION 'CONVERSION_EXIT_ALPHA_INPUT'
            EXPORTING
              input  = lv_hkont
            IMPORTING
              output = lv_hkont.
        Move outstanding trade collection(Deposit in transit)
          READ TABLE gt_outs_trade_coll ASSIGNING <fs_outs_trade_coll>
                                        WITH TABLE KEY bukrs = <fs_t012k>-bukrs
                                                       hkont = lv_hkont.
          IF sy-subrc = 0.
            wa_output-one_day            = <fs_outs_trade_coll>-one_day.
            ADD wa_output-one_day TO wa_output-tot_cash_bal.
            wa_output-two_days           = <fs_outs_trade_coll>-two_days.
            ADD wa_output-two_days TO wa_output-tot_cash_bal.
            wa_output-more_than_two_days = <fs_outs_trade_coll>-more_than_two_days.
            ADD wa_output-more_than_two_days TO wa_output-tot_cash_bal.
          ENDIF.
        Move miscellaneous collection
          READ TABLE gt_misc_collection ASSIGNING <fs_misc_collection>
                                        WITH TABLE KEY bukrs = <fs_t012k>-bukrs
                                                       hkont = lv_hkont.
          IF sy-subrc = 0.
            wa_output-misc_collection = <fs_misc_collection>-dmbtr.
            ADD wa_output-misc_collection TO wa_output-tot_cash_bal.
          ENDIF.
        Move outstanding released checks
          CLEAR lv_hkont.
          lv_hkont = <fs_t012k>-hkont.
          ADD 3 TO lv_hkont.
          CALL FUNCTION 'CONVERSION_EXIT_ALPHA_INPUT'
            EXPORTING
              input  = lv_hkont
            IMPORTING
              output = lv_hkont.
          READ TABLE gt_outs_rel_checks ASSIGNING <fs_outs_rel_checks>
                                        WITH TABLE KEY bukrs = <fs_t012k>-bukrs
                                                       hkont = lv_hkont.
          IF sy-subrc = 0.
            wa_output-outs_rel_checks = <fs_outs_rel_checks>-dmbtr.
            IF wa_output-outs_rel_checks < 0.
              ADD wa_output-outs_rel_checks TO wa_output-tot_cash_bal.
            ELSE.
              SUBTRACT wa_output-outs_rel_checks FROM wa_output-tot_cash_bal.
            ENDIF.
          ELSE.
            CLEAR wa_zcheck_monitor_collect.
            READ TABLE gt_zcheck_monitor_collect INTO wa_zcheck_monitor_collect
                                                 WITH TABLE KEY zzbukr = <fs_t012k>-bukrs
                                                                zubhkt = lv_hkont.
            IF sy-subrc = 0.
              wa_output-outs_rel_checks = wa_zcheck_monitor_collect-zrwbtr.
              IF wa_output-outs_rel_checks < 0.
                ADD wa_output-outs_rel_checks TO wa_output-tot_cash_bal.
              ELSE.
                SUBTRACT wa_output-outs_rel_checks FROM wa_output-tot_cash_bal.
              ENDIF.
            ENDIF.
          ENDIF.
        Move outstanding unreleased checks
          CLEAR lv_hkont.
          lv_hkont = <fs_t012k>-hkont.
          ADD 3 TO lv_hkont.
          CALL FUNCTION 'CONVERSION_EXIT_ALPHA_INPUT'
            EXPORTING
              input  = lv_hkont
            IMPORTING
              output = lv_hkont.
          READ TABLE gt_outs_unrel_checks ASSIGNING <fs_outs_unrel_checks>
                                          WITH TABLE KEY bukrs = <fs_t012k>-bukrs
                                                         hkont = lv_hkont.
          IF sy-subrc = 0.
            wa_output-outs_unrel_checks = <fs_outs_unrel_checks>-dmbtr.
          ENDIF.
        Move importation docs. due
          CLEAR wa_importation_docs_due.
          READ TABLE gt_importation_docs_due INTO wa_importation_docs_due
                                             WITH TABLE KEY bukrs = <fs_t012k>-bukrs
                                                            hkont = lv_hkont
                                                                    TRANSPORTING dmbtr.
          IF sy-subrc = 0.
            wa_output-imp_docs_due = wa_importation_docs_due-dmbtr.
          ENDIF.
          wa_output-est_cash_balance = wa_output-tot_cash_bal - ( wa_output-outs_unrel_checks +
                                                                  wa_output-imp_docs_due ).
          APPEND wa_output TO gt_output.
          CLEAR wa_output.
        ENDLOOP.
      ENDMETHOD.                    "process_data
    ENDCLASS.                    "lcl_get_data IMPLEMENTATION
          CLASS lcl_alv_routines IMPLEMENTATION
    CLASS lcl_alv_routines IMPLEMENTATION.
      METHOD build_fieldcat.
        DEFINE m_fieldcat.
          add 1 to wa_fieldcat-col_pos.
          wa_fieldcat-fieldname   = &1.
          wa_fieldcat-tabname     = &2.
          wa_fieldcat-coltext     = &3.
          wa_fieldcat-outputlen   = &4.
          wa_fieldcat-key         = &5.
          wa_fieldcat-just        = &6.
          wa_fieldcat-do_sum      = &7.
          wa_fieldcat-emphasize   = &8.
          wa_fieldcat-edit        = &9.
          append wa_fieldcat to gt_fieldcat.
          clear wa_fieldcat.
        END-OF-DEFINITION.
        m_fieldcat 'BUKRS'              'GT_OUTPUT' text-a01  '12' 'X' '' '' '' ''.
        m_fieldcat 'HBKID'              'GT_OUTPUT' text-a14  '10' 'X' '' '' '' ''.
        m_fieldcat 'HKTID'              'GT_OUTPUT' text-a02  '10' 'X' '' '' '' ''.
        m_fieldcat 'CASH_IN_BANK'       'GT_OUTPUT' text-a03  '12' '' 'R' 'X' '' ''.
        m_fieldcat 'ONE_DAY'            'GT_OUTPUT' text-a04  '05' '' 'R' 'X' '' ''.
        m_fieldcat 'TWO_DAYS'           'GT_OUTPUT' text-a05  '06' '' 'R' 'X' '' ''.
        m_fieldcat 'MORE_THAN_TWO_DAYS' 'GT_OUTPUT' text-a06  '08' '' 'R' 'X' '' ''.
        m_fieldcat 'MISC_COLLECTION'    'GT_OUTPUT' text-a07  '16' '' 'R' 'X' '' ''.
        m_fieldcat 'OUTS_REL_CHECKS'    'GT_OUTPUT' text-a08  '21' '' 'R' 'X' '' ''.
        m_fieldcat 'TREAS_TRANSACTIONS' 'GT_OUTPUT' text-a09  '19' '' 'R' 'X' '' 'X'.
        m_fieldcat 'TOT_CASH_BAL'       'GT_OUTPUT' text-a10  '15' '' 'R' 'X' 'C300' ''.
        m_fieldcat 'OUTS_UNREL_CHECKS'  'GT_OUTPUT' text-a11  '19' '' 'R' 'X' '' ''.
        m_fieldcat 'IMP_DOCS_DUE'       'GT_OUTPUT' text-a12  '14' '' 'R' 'X' '' ''.
        m_fieldcat 'EST_CASH_BALANCE'   'GT_OUTPUT' text-a13  '17' '' 'R' 'X' 'C300' ''.
      ENDMETHOD.                    "build_fieldcat
      METHOD sort_alv_display.
        DEFINE m_sort.
          clear gs_sort.
          gs_sort-fieldname = &1.
          gs_sort-spos      = &2.
          gs_sort-up        = &3.
          gs_sort-down      = &4.
          gs_sort-subtot    = &5.
          append gs_sort to gt_sort.
        END-OF-DEFINITION.
        m_sort 'BUKRS' '1' 'X' '' ''.
        m_sort 'HBKID' '2' 'X' '' 'X'.
      ENDMETHOD.                    "sort_alv_display
    ENDCLASS.                    "lcl_alv_routines IMPLEMENTATION
          CLASS lcl_event_receiver IMPLEMENTATION
    CLASS lcl_event_receiver IMPLEMENTATION.
      METHOD handle_data_changed.
        LOOP AT er_data_changed->mt_mod_cells INTO ls_good.
          CASE ls_good-fieldname.
            WHEN 'TREAS_TRANSACTIONS'.
              CLEAR lv_tot_cash_bal.
              CALL METHOD er_data_changed->get_cell_value
                EXPORTING
                  i_row_id    = ls_good-row_id
                  i_fieldname = 'TOT_CASH_BAL'
                IMPORTING
                  e_value     = lv_tot_cash_bal.
              IF ls_good-value CA 'ABCDEFGHIJKLMNOPQRSTUVWXYZ/'.
                CALL METHOD er_data_changed->add_protocol_entry
                  EXPORTING
                    i_msgid     = '0K'
                    i_msgno     = '000'
                    i_msgty     = 'E'
                    i_msgv1     = text-e01
                    i_msgv2     = ls_good-value
                    i_msgv3     = text-e02
                    i_fieldname = ls_good-fieldname
                    i_row_id    = ls_good-row_id.
                EXIT.
              ELSE.
                CLEAR lv_treas_transactions.
                lv_treas_transactions = ls_good-value.
                ADD lv_tot_cash_bal TO lv_treas_transactions.
                CALL METHOD er_data_changed->modify_cell
                  EXPORTING
                    i_row_id    = ls_good-row_id
                    i_fieldname = 'TOT_CASH_BAL'
                    i_value     = lv_treas_transactions.
                CLEAR lv_outs_unrel_checks.
                CALL METHOD er_data_changed->get_cell_value
                  EXPORTING
                    i_row_id    = ls_good-row_id
                    i_fieldname = 'OUTS_UNREL_CHECKS'
                  IMPORTING
                    e_value     = lv_outs_unrel_checks.
                CLEAR lv_imp_docs_due.
                CALL METHOD er_data_changed->get_cell_value
                  EXPORTING
                    i_row_id    = ls_good-row_id
                    i_fieldname = 'IMP_DOCS_DUE'
                  IMPORTING
                    e_value     = lv_imp_docs_due.
                lv_est_cash_balance = ls_good-value - ( lv_outs_unrel_checks +
                                                        lv_imp_docs_due ).
                CALL METHOD er_data_changed->modify_cell
                  EXPORTING
                    i_row_id    = ls_good-row_id
                    i_fieldname = 'EST_CASH_BALANCE'
                    i_value     = lv_est_cash_balance.
                CLEAR lv_est_cash_balance.
              ENDIF.
          ENDCASE.
        ENDLOOP.
      ENDMETHOD.                    "handle_data_changed
      METHOD handle_top_of_page.
        WRITE: sy-repid.
      ENDMETHOD.                    "handle_top_of_page
      METHOD handle_top_of_list.
        WRITE: sy-repid.
      ENDMETHOD.                    "handle_top_of_list
    ENDCLASS.                    "lcl_event_receiver IMPLEMENTATION
    START-OF-

  • I have a few compile errors. Can someone give me direction?

    I have some compile areas in the following code and I am not really sure how to correct.
    Can someone give guidance? Thanks
    import java.io.*;
    import java.util.*;
    import java.awt.*;
    import java.awt.Window.*;
    import java.awt.event.*;
    import javax.swing.*;
    import java.applet.*;
    import java.net.*;
    public class FrontEnd_2 extends Applet{
         private static int appType = 0;
         private Frame FrontEnd_2 = null;
         private Choice nameList = new Choice();
         private Label PipeID = new Label("");
         private TextField pipelineName = new TextField();
         private TextField problem = new TextField();
         private TextField location = new TextField();
         private TextField repairCost = new TextField();
         private Button update = new Button("Update");
         private Button clear = new Button("Clear");
         private Button delete = new Button("Delete");
         private Button exit = new Button("Exit");
         private long idList[] = null;
         public static void main(String args[]){
         appType = 1;
         new FrontEnd_2();
         public FrontEnd_2(){
         Panel p = new Panel(new GridLayout(6,3));
         p.add(new Label());
         p.add(nameList);
         p.add(new Label());
         p.add(new Label("PipeId"));
         p.add(new Label());
         p.add(new Label());
         p.add(new Label("Pipeline Name"));
         p.add(pipelineName);
         p.add(update);
         p.add(new Label("Problem"));
         p.add(problem);
         p.add(clear);
         p.add(new Label("Location"));
         p.add(location);
         p.add(delete);
         p.add(new Label("Repair Cost"));
         p.add(repairCost);
         p.add(exit);
         String data = getData("L0");
              StringTokenizer st = new StringTokenizer(stRetVal, ",");
              nameList.add("[select a name]");
              int size = st.countTokens() / 2;
              idList = new long[size+1];
                   for ( int i=1; i<=size; i++ ) {
                        idList[i] = Long.parseLong(st.nextToken());
                        nameList.add(st.nextToken());
         private String getData(String cmd)
         Socket s = null;
         BufferedReader reader = null;
         BufferedWriter writer = null;
         String sRetVal = " ";
         try{
         s = new Socket("66.24.174.32",1234);
         reader = new BufferedReader(new InputStreamReader(s.getInputStream()));
         writer = new BufferedWriter(new OutputStreamWriter(s.getOutputStream()));
         writer.write(cmd);
         writer.newLine();
         writer.flush();
         writer.close();
         sRetVal = reader.readLine();
         catch(UnknownHostException ue){
         catch(IOException ioe){
    finally
         writer = null;
         reader = null;
         return sRetVal;
         switch(appType){
         case 0:                                                                           // Applet extends panel
         FrontEnd.add(p);
         break;
         case 1:                                                                           // Application
         FrontEnd_2 = new Frame("Pipeline Inputs");
         FrontEnd_2.addWindowListener(this);
         nameList.addItemListener(this);
         exit.addActionListener(this);
         p.add(exit);
         FrontEnd.add(p);
         FrontEnd.setSize(30,60);
         FrontEnd.setVisible(true);
         break;
         public void actionPerformed(ActionEvent ae){
              if(ae.getSource() == exit){
              fileExit();
              else if (ae.getSource() == clear){
              fileClear();
         public void itemStateChanged(ItemEvent e) {
              int index = nameList.getSelectedIndexOf();
              long id = idList[index];
              String data = getData("R" + id);
              StringTokenizer st = StringTokenizer(data, ",");
              PipeID.setText(st.nextToken());
              problem.setText(st.nextToken());
              location.setText(st.nextToken());
              repairCost.setText(st.nextToken()):
         public void windowActivated(WindowEvent we){     }
         public void windowClosed(WindowEvent we){     }
         public void windowClosing(WindowEvent we){ fileExit();}
         public void windowDeactivated(WindowEvent we){     }
         public void windowDeiconified(WindowEvent we){     }
         public void windowIconified(WindowEvent we){     }
         public void windowOpened(WindowEvent we){     }
         private void fileExit(){
         FrontEnd_2.dispose();
         System.exit(0);

    Some of the errors that I got while compiling your program were the following:
    1) You need to declare your methods outside of your constructor
    2) You are declaring sretval in a private method getData and passing it on to StringTokenizer. You should declare it as an instance variable cuz local variables won't go any farther than the method in which they were declared.
    3) You did not implement WindowListener, ActionListener, ItemListener.
    Some tips: Try to use adapters in an anonymous inner class to implement listeners such as WindowAdapter.
    Use some white space between your code. It makes it a heck of a lot easier to read. Use indentation to show nested statements :)
    Here is the fixed code.
    import java.io.*;
    import java.util.*;
    import java.awt.*;
    import java.awt.Window.*;
    import java.awt.event.*;
    import javax.swing.*;
    import java.applet.*;
    import java.net.*;
    public class FrontEnd_2 extends Applet implements WindowListener, ActionListener, ItemListener{
    private static int appType = 0;
    private String sRetVal = " ";
    private Frame FrontEnd_2 = null;
    private Choice nameList = new Choice();
    private Label PipeID = new Label("");
    private TextField pipelineName = new TextField();
    private TextField problem = new TextField();
    private TextField location = new TextField();
    private TextField repairCost = new TextField();
    private Button update = new Button("Update");
    private Button clear = new Button("Clear");
    private Button delete = new Button("Delete");
    private Button exit = new Button("Exit");
    private long idList[] = null;
    * mainline
    public static void main(String args[]){
    appType = 1;
    new FrontEnd_2();
    public FrontEnd_2(){
    Panel p = new Panel(new GridLayout(6,3));
    p.add(new Label());
    p.add(nameList);
    p.add(new Label());
    p.add(new Label("PipeId"));
    p.add(new Label());
    p.add(new Label());
    p.add(new Label("Pipeline Name"));
    p.add(pipelineName);
    p.add(update);
    p.add(new Label("Problem"));
    p.add(problem);
    p.add(clear);
    p.add(new Label("Location"));
    p.add(location);
    p.add(delete);
    p.add(new Label("Repair Cost"));
    p.add(repairCost);
    p.add(exit);
    String data = getData("L0");
    StringTokenizer st = new StringTokenizer(sRetVal, ",");
    nameList.add("[select a name]");
    int size = st.countTokens() / 2;
    long idList = size+1;
    for ( int i=1; i<=size; i++ ) {
    idList = Long.parseLong(st.nextToken());
    nameList.add(st.nextToken());
    switch(appType){
    case 0: // Applet extends panel
    FrontEnd_2.add(p);
    break;
    case 1: // Application
    FrontEnd_2 = new Frame("Pipeline Inputs");
    FrontEnd_2.addWindowListener(this);
    nameList.addItemListener(this);
    exit.addActionListener(this);
    p.add(exit);
    FrontEnd_2.add(p);
    FrontEnd_2.setSize(300,300);
    FrontEnd_2.setVisible(true);
    break;
    }//end constructor
    public void actionPerformed(ActionEvent ae){
    if(ae.getSource() == exit){
    fileExit();
    else if (ae.getSource() == clear){
    fileClear();
    public void itemStateChanged(ItemEvent e) {
    int index = nameList.getSelectedIndex();
    long id = idList[index];
    String data = getData("R" + id);
    StringTokenizer st = new StringTokenizer(data, ",");
    PipeID.setText(st.nextToken());
    problem.setText(st.nextToken());
    location.setText(st.nextToken());
    repairCost.setText(st.nextToken());
    public void windowActivated(WindowEvent we){ }
    public void windowClosed(WindowEvent we){ }
    public void windowClosing(WindowEvent we){ fileExit();}
    public void windowDeactivated(WindowEvent we){ }
    public void windowDeiconified(WindowEvent we){ }
    public void windowIconified(WindowEvent we){ }
    public void windowOpened(WindowEvent we){ }
    private void fileExit(){
    FrontEnd_2.dispose();
    System.exit(0);
    private void fileClear(){
    //do something here
    //start of getData
    private String getData(String cmd){
    Socket s = null;
    BufferedReader reader = null;
    BufferedWriter writer = null;
    try{
    s = new Socket("66.24.174.32",1234);
    reader = new BufferedReader(new InputStreamReader(s.getInputStream()));
    writer = new BufferedWriter(new OutputStreamWriter(s.getOutputStream()));
    writer.write(cmd);
    writer.newLine();
    writer.flush();
    writer.close();
    sRetVal = reader.readLine();
    }//end try
    catch(UnknownHostException ue){
    catch(IOException ioe){
    finally{
    writer = null;
    reader = null;
    return sRetVal;
    }//end getData

  • Can you give some real-life use of tables in BW?

    Hi,
    In reading links and notes from here, I took a leap to try and understand how tables are used in the BW environment, by following:
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    RSZ* then  F4
    then I Double click on:
    i.
    RSZRANGE        Selection specification for an element
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    What is this table suppose to tell me and can you give me a real-life scenario where you made use of such a research to solve a problem?
    ii.
    RSZOPRATOR       Formula Operators
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    What is this table suppose to tell me and can you give me a real-life scenario where you made use of such a research to solve a problem?
    iii. Later I tried RSU* then
    RSUPDDAT        Update rules key figures
    Nothing recognizable here about the update rules.
    What is this table suppose to tell me and can you give me a real-life scenario where you made use of such a research to solve a problem?
    iv.
    Also, sometimes here conversations like, research on which tables have the fields you need and let’s generate reports against them. I though tin BW, reports are always generated against data targets (ODS, Cubes, etc). I didn’t know of tables.
    Can you give a real-life scenario where you had to combine fields in 2 or 3 tables and use them in project?
    Thanks

    Amanda,
    There are many scenarios where you can use the tables behind the screen. But most of the times the scenarios are sophisticated requirement. Suppose your installation has many data targets and all are getting loaded nightly, weekly or even monthly intervals. Usually in most places the person on call will go and look at all the targets in the morning whether all the loads are successful (they would have beeped if something faild during loading at nights). Instead of going thru this manual process you can write an ABAP program which will look at the infocubes and ODS and see how many records were added, transferred, updated success or failure all kinds of information.
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    Hope this helps.
    Good luck with your learning.
    Alex.

  • Can anyone give me some documents for data cluster

    Hi,
    can anyone give me some documents for data cluster?
    ths!
    regards!

    Hi ,
    The following is a documentation on the <b>Data Cluster</b>:
    <b>Data clusters</b> are specific to ABAP. Although it is possible to read a cluster database using SQL statements, only ABAP can interpret the structure of the data cluster.
    You can store <b>data clusters</b> in special databases in the ABAP Dictionary. These are called ABAP cluster databases, and have a prescribed structure:
    <u><b>Cluster Databases</b></u> ( I have explained the cluster databse below )
    This method allows you to store complex data objects with deep structures in a single step, without having to adjust them to conform to the flat structure of a relational database. Your data objects are then available systemwide to every user. To read these objects from the database successfully, you must know their data types.
    You can use cluster databases to store the results of analyses of data from the relational database. For example, if you want to create a list of your customers with the highest revenue, or an address list from the personnel data of all of your branches, you can write ABAP programs to generate the list and store it as a data cluster. To update the <b>data cluster</b>, you can schedule the program to run periodically as a background job. You can then write other programs that read from the data cluster and work with the results. This method can considerable reduce the response time of your system, since it means that you do not have to access the distributed data in the relational database tables each time you want to look at your list.
    <b>Cluster Database :</b>
                    Cluster databases are special relational databases in the ABAP Dictionary that you can use to store data clusters. Their line structure is divided into a standard section, containing several fields, and one large field for the <b>data cluster.</b>
    <b>Creating a Directory of a Data Cluster</b>
    To create a directory of a data cluster from an ABAP cluster database, use the following statement:
    Syntax
    <b>IMPORT DIRECTORY INTO <dirtab>
                     FROM DATABASE <dbtab>(<ar>)
                     [CLIENT <cli>] ID <key>.</b>
    This creates a directory of the data objects belonging to a data cluster in the database <dbtab> in the internal table <dirtab>. You must declare <dbtab> using a TABLES statement.
    To save a <b>data cluster</b> in a database, use the <b>EXPORT TO DATABASE</b> statement .
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    The <b>internal table</b> <dirtab> must have the ABAP Dictionary structure CDIR.
    <b>******** Sample Program illustrating the data cluster .</b>
    PROGRAM Zdata_cluster.
    TABLES INDX.
    ******to save data objects in cluster databases
    DATA: BEGIN OF ITAB OCCURS 100,
            COL1 TYPE I,
            COL2 TYPE I,
          END OF ITAB.
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      ITAB-COL1 = SY-INDEX.
      ITAB-COL2 = SY-INDEX ** 2.
      APPEND ITAB.
    ENDDO.
    INDX-AEDAT = SY-DATUM.
    INDX-USERA = SY-UNAME.
    INDX-PGMID = SY-REPID.
    EXPORT ITAB TO DATABASE INDX(HK) ID 'Table'.
    WRITE: '    SRTF2',
         AT 20 'AEDAT',
         AT 35 'USERA',
         AT 50 'PGMID'.
    ULINE.
    SELECT * FROM INDX WHERE RELID = 'HK'
                       AND   SRTFD = 'Table'.
      WRITE: / INDX-SRTF2 UNDER 'SRTF2',
               INDX-AEDAT UNDER 'AEDAT',
               INDX-USERA UNDER 'USERA',
               INDX-PGMID UNDER 'PGMID'.
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    DATA DIRTAB LIKE CDIR OCCURS 10 WITH HEADER LINE.
    IMPORT DIRECTORY INTO DIRTAB FROM DATABASE
                                      INDX(HK) ID 'Table'.
    IF SY-SUBRC = 0.
      WRITE: / 'AEDAT:', INDX-AEDAT,
             / 'USERA:', INDX-USERA,
             / 'PGMID:', INDX-PGMID.
      WRITE  / 'Directory:'.
      LOOP AT DIRTAB.
        WRITE: / DIRTAB-NAME,  DIRTAB-OTYPE, DIRTAB-FTYPE,
                 DIRTAB-TFILL, DIRTAB-FLENG.
      ENDLOOP.
    ELSE.
      WRITE 'Not found'.
    ENDIF.
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    if useful, do reward with the points.
    Regards,
    Kunal.

  • Can anyone give me step by step for calling FM from one SAP to another SAP

    can anyone give me step by step for calling FM from one SAP to another SAP
    points will be rewarded,
    thank you,
    Regards,
    Jagrut BharatKumar Shukla

    *& Report  RFC_FOR_CUSTOMER_LIST
    *& RFC to a Fn. module from another system which implements BAPI
    REPORT  rfc_for_customer_list.
    DATA:
      fl_status TYPE i.
    DATA:
      fs_message TYPE bapiret2.
    DATA:
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        id   TYPE s_customer,
        name TYPE s_custname,
      END OF fs_customers.
    DATA:
      t_customers LIKE
         STANDARD TABLE
               OF fs_customers.
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      IMPORTING
        return = fs_message
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      fl_status = 1.
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        WRITE:
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        AT LAST.
          WRITE:
            /,/5 'No of customers in R3N = ', sy-tabix.
        ENDAT.
      ENDLOOP.
    ELSE.
      MESSAGE 'RFC failed' TYPE 'S'.
      EXIT.
    ENDIF.
                           TOP-OF-PAGE EVENT                            *
    TOP-OF-PAGE.
      IF fl_status NE 0.
        WRITE:
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           32 'NAME' COLOR 6.
        SKIP.
      ENDIF.
    This is one small example...
    Regards,
    Pavan

  • Can you give me advice

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    G'day Bryanlwc.
    There is a very nice sourceforge project called 'NSIS' which is a very elegent cross platform instalation scripting utility.
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    All in all, I cannot recommend NSIS enough. Btw it comes with some samples that show how to detect Java. Not complete in itself but will give you a starting point.
    James.

  • Can you give me a simpe example

    dear all,
    can you give me simple example about this procedure UTL_FILE.PUTF plz.
    with best regard

    hi try this example
    DECLARE
        v_empfile       UTL_FILE.FILE_TYPE;
        v_directory     VARCHAR2(50) := 'C:\TEMP\EMPDIR';
        v_filename      VARCHAR2(20) := 'empfile.csv';
        v_format        VARCHAR2(200);
        CURSOR emp_cur IS SELECT * FROM emp ORDER BY empno;
    BEGIN
        v_format := '%s %s, %s\\nSalary: $%s Commission: $%s\\n\\n';
        v_empfile := UTL_FILE.FOPEN(v_directory,v_filename,'w');
        FOR i IN emp_cur LOOP
            UTL_FILE.PUTF(v_empfile,v_format,i.empno,i.ename,i.job,i.sal,
                NVL(i.comm,0));
        END LOOP;
        DBMS_OUTPUT.PUT_LINE('Created file: ' || v_filename);
        UTL_FILE.FCLOSE(v_empfile);
    EXCEPTION
        WHEN OTHERS THEN
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