Can you give me a example about JAXRPC and...
i found in the examples of coffee break the javabean is the format of return data from JAXRPC.i want to realize that the xml is the return data format.so how can i do?and please give me an example of the JAXRPC whose format of return data is xml
i found in the examples of coffee break the javabean
is the format of return data from JAXRPC.i want to
realize that the xml is the return data format.so how
can i do?and please give me an example of the JAXRPC
whose format of return data is xml All JAXRPC messages are XML.
Similar Messages
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can you give me some reasons about why I need to buy an iPod touch 5.Although I have the iPhone ,iPod nano, iPad ,MacBook pro,I think the iPod touch 5 is so attractive that I can't help buying it at once.If I have it,what I can do with it,can you tell me?
All I can say is that I REALLY like my Touch 4th gen because I have all sorts of capabilities in a small form: e-mail, web browsing, news, weather, books, magazines, etc. etc. Plus lots and lots of apps out there, including so many free ones. I use the Cloud a lot so it's great to have everything sync'd to my MacBookPro (e-mail, Evernote, Pocket, etc.)
It would be easier, though, to do some of this, especially magazines, on the iPad mini, but, again, I love the small size of the Touch.
As for the 5th gen instead of the 4th, the fifth has Siri and the 3D feature in maps, which are great. And I'm sure it's a lot faster in iOS 6 than the 4th gen. And cool colors!
Don't know if this helps . . . -
Can you give me an example of using blacklist from in mail settings to block unwanted mail?
I want to use serveradmin settings mail command line to set a list of domains/servers I do not want to receive emails from. Can you give me an example on how to set this in ML server?
I managed to set the domains using the command line serveradmin but it is not working. This is a list of domains I have set so far:
mail:postfix:blacklist_from:_array_index:0 = "bounces.servidordeenvio.com"
mail:postfix:blacklist_from:_array_index:1 = "reiserver50.info"
mail:postfix:blacklist_from:_array_index:2 = "vps5.central-adworks.com.br"
mail:postfix:blacklist_from:_array_index:3 = "emailTrocar.com.br"
mail:postfix:blacklist_from:_array_index:4 = "geeklemail21.com.br"
mail:postfix:blacklist_from:_array_index:5 = "produtosnotaveis.org"
But I still keep receiving emails from those domains with virus (which are intercepted by the virus filtering) and receiving alert messages from the server app suggesting me to include these domains in a blacklist.
Thanks for your help..Thank you.
I tried it out and did not work either but I finally found a way to add multiple entries. I read on the serveradmin man page that if you had multiple values you should better off use a file for input.
I did create a plain file with as many as needed entries:
mail:postfix:blacklist_from:_array_index:0 = "*@xxx.com"
mail:postfix:blacklist_from:_array_index:1 = "*@xxxx.com"
saved as blacklist then I issued the command:
sudo serveradmin settings < blacklist
This solved the setting of multiple values. I will monitor if it will really block the spam from the locations.
Thanks again for your help and interest. -
Can you give me an example?
I use com.sapportals.htmlb.Tree to build a dynpage and set a NodeExpand envent on a TreeNode.In the event I want to create subnodes of the TreeNode.But I don't know how to transmite the TreeNode to the event.I mean I don't know how to know which TreeNode the subnode are built to.
Can you gei me an example?Hi,
Have you seen this blog ?
Build Your Own KM Navigation iView Using HTMLB Tree
https://www.sdn.sap.com/irj/sdn/weblogs?blog=/pub/wlg/1424
Patricio. -
Can you show me an example about %=navop%
Hi all,
On the <jbo:RowsetNavigate I found this:
Tip: You can also set the action parameter at runtime by using an expression such as
<%=navop%>. You would pass the action value to the RowsetNavigate tag from another portion of your page.
I guess this is used in conjunction with <jbo:OnEvent list=first,next, ..... > in order to not repeating code and reuse the same portion of code in navigating actions.
Can you show me how can I get the value <%=navop %> in order to pass it to the tags (i.e. <jbo:ROW action=<%=navop%>), in the submiting form?
Thanks.this is just a local variable to the JSP page you can pass it as a request parameter and retrieve it as follows:
<%
String navop = request.getParameter("navigation"); // this is your variable name
%> -
Can you give me an example using the System_exec.vi
Hi
I am having trouble with the system_exec.vi. Is it possible for someone to give me an example please?
Thanks.Try this............
Regards
Werner
Attachments:
windows instruction.vi 21 KB -
Where could I find some example code in DaqCard-1200 Register_level programming Manual
This forum is for discussion of Measurement Studio for Visual C++. You can post questions about DAQ to the Multifunction I/O secition here.
Best Regards,
Chris Matthews
National Instruments -
Can you give me a simpe example
dear all,
can you give me simple example about this procedure UTL_FILE.PUTF plz.
with best regardhi 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
DBMS_OUTPUT.PUT_LINE('SQLERRM: ' || SQLERRM);
DBMS_OUTPUT.PUT_LINE('SQLCODE: ' || SQLCODE);
END;The following is the contents of empfile.csv created above:
C:\TEMP\EMPDIR empfile.csv
with the employee details -
Can somebody give me a sample about alv oo?
hi experts ,can you give me a sample about alv using oo method,
i have tried
data GS_LAYOUT TYPE SLIS_LAYOUT_ALV.
data lt_fieldcat TYPE slis_t_fieldcat_alv.
call method alv_grid->set_table_for_first_display
exporting is_layout = gs_layout
changing it_outtab = itab_data
it_fieldcatalog = lt_fieldcat.
but the code cann't be compiled, and says "lt_fieldcat is not type-compatible with formal parameter it_fieldcatalog.",and so is the gs_layout.
can you give me a sample for using alv oo ,and use the fieldcat to set table for first display, not to use i_structure_name.
Message was edited by:
liu shaochangHi,
Please take a look at my code below. Just create a custom control in screen painter and PF-status and title as well. Hope it helps...
P.S. Please award points if it helps...
[code]
*& Report ZFI_CASH_PROOF_SHEET
*& PROGRAM TYPE : Report
*& RICEF ID : R-149
*& TITLE : ZFI_CASH_PROOF_SHEET
*& SAP Module : FI
*& CREATION DATE : 11/06/2007
*& AUTHOR : Aris Hidalgo
*& DESIGNER : Aris Hidalgo
*& DESCRIPTION :
$*********************************************************************
*$ CHANGE HISTORY
*$----
*$ DATE | T-Num | Description | Reference
| | |
$*********************************************************************
REPORT zfi_cash_proof_sheet
NO STANDARD PAGE HEADING
MESSAGE-ID zfi.
Data Dictionary Table/s *
TABLES: t012k.
CLASS lcl_event_receiver DEFINITION DEFERRED.
Global Data/s *
DATA: gt_fieldcat TYPE lvc_t_fcat,
wa_fieldcat LIKE LINE OF gt_fieldcat,
ok_code TYPE syst-ucomm,
save_ok TYPE syst-ucomm,
g_repid TYPE syst-repid,
gs_layout TYPE lvc_s_layo,
gv_container TYPE scrfname VALUE 'CUSTOM_CONTROL',
lcl_grid1 TYPE REF TO cl_gui_alv_grid,
lcl_custom_container TYPE REF TO cl_gui_custom_container,
gs_disvariant TYPE disvariant,
lcl_event_receiver TYPE REF TO lcl_event_receiver,
gt_sort TYPE lvc_t_sort,
gs_sort TYPE lvc_s_sort.
Global Structure/s *
TYPES: BEGIN OF t_output,
bukrs TYPE bsis-bukrs,
hbkid TYPE t012k-hbkid,
hktid TYPE t012k-hktid,
cash_in_bank TYPE bsis-dmbtr,
one_day TYPE bsis-dmbtr,
two_days TYPE bsis-dmbtr,
more_than_two_days TYPE bsis-dmbtr,
misc_collection TYPE bsis-dmbtr,
outs_rel_checks TYPE bsis-dmbtr,
treas_transactions TYPE bsis-dmbtr,
tot_cash_bal TYPE bsis-dmbtr,
outs_unrel_checks TYPE bsis-dmbtr,
imp_docs_due TYPE bsis-dmbtr,
est_cash_balance TYPE bsis-dmbtr,
END OF t_output.
DATA: gt_output TYPE STANDARD TABLE OF t_output,
wa_output LIKE LINE OF gt_output.
SELECTION-SCREEN *
SELECTION-SCREEN BEGIN OF BLOCK b1 WITH FRAME TITLE text-001.
SELECT-OPTIONS: s_bukrs FOR t012k-bukrs OBLIGATORY,
s_hbkid FOR t012k-hbkid,
s_hktid FOR t012k-hktid.
PARAMETERS: p_budat TYPE bsak-budat OBLIGATORY.
SELECTION-SCREEN END OF BLOCK b1.
*/ CLASS DEFINITION/S */
CLASS lcl_data_def DEFINITION
CLASS lcl_data_def DEFINITION ABSTRACT.
PUBLIC SECTION.
TYPES: BEGIN OF t_t012k,
bukrs TYPE t012k-bukrs,
hbkid TYPE t012k-hbkid,
hktid TYPE t012k-hktid,
hkont TYPE t012k-hkont,
END OF t_t012k.
TYPES: BEGIN OF t_bsis_bsas,
bukrs TYPE bsis-bukrs,
hkont TYPE bsis-hkont,
belnr TYPE bsis-belnr,
buzei TYPE bsis-buzei,
gjahr TYPE bsis-gjahr,
budat TYPE bsis-budat,
blart TYPE bsis-blart,
dmbtr TYPE bsis-dmbtr,
shkzg TYPE bsis-shkzg,
END OF t_bsis_bsas.
TYPES: BEGIN OF t_bsid_bsad,
bukrs TYPE bsid-bukrs,
belnr TYPE bsid-belnr,
gjahr TYPE bsid-gjahr,
blart TYPE bsid-blart,
buzei TYPE bsid-buzei,
budat TYPE bsid-budat,
dmbtr TYPE bsid-dmbtr,
shkzg TYPE bsid-shkzg,
bschl TYPE bsid-bschl,
END OF t_bsid_bsad.
TYPES: BEGIN OF t_cash_in_bank,
bukrs TYPE bsis-bukrs,
hkont TYPE bsis-hkont,
dmbtr TYPE bsis-dmbtr,
END OF t_cash_in_bank.
TYPES: BEGIN OF t_outs_trade_coll,
bukrs TYPE bsis-bukrs,
hkont TYPE bsis-hkont,
one_day TYPE bsis-dmbtr,
two_days TYPE bsis-dmbtr,
more_than_two_days TYPE bsis-dmbtr,
END OF t_outs_trade_coll.
TYPES: BEGIN OF t_zcheck_monitor,
zzbukr TYPE zcheck_monitor-zzbukr,
zhbkid TYPE zcheck_monitor-zhbkid,
zhktid TYPE zcheck_monitor-zhktid,
zubhkt TYPE zcheck_monitor-zubhkt,
zrwbtr TYPE zcheck_monitor-zrwbtr,
zrlsvd TYPE zcheck_monitor-zrlsvd,
zrlsdt TYPE zcheck_monitor-zrlsdt,
END OF t_zcheck_monitor.
TYPES: BEGIN OF t_zcheck_monitor_collect,
zzbukr TYPE zcheck_monitor-zzbukr,
zubhkt TYPE zcheck_monitor-zubhkt,
zrwbtr TYPE zcheck_monitor-zrwbtr,
END OF t_zcheck_monitor_collect.
TYPES: BEGIN OF t_company,
bukrs TYPE t001-bukrs,
butxt TYPE t001-butxt,
END OF t_company.
TYPES: BEGIN OF t_header,
bukrs TYPE t001-bukrs,
butxt TYPE t001-butxt,
hbkid TYPE t012k-hbkid,
hktid TYPE t012k-hktid,
expand(1) TYPE c,
END OF t_header.
DATA: gt_t012k TYPE HASHED TABLE OF t_t012k
WITH UNIQUE KEY bukrs hbkid hktid,
gt_bsis TYPE STANDARD TABLE OF t_bsis_bsas,
wa_bsis LIKE LINE OF gt_bsis,
gt_bsas LIKE gt_bsis,
gt_bsis_bsas LIKE gt_bsas,
gt_bsid_bsad TYPE STANDARD TABLE OF t_bsid_bsad
WITH NON-UNIQUE KEY bukrs belnr gjahr blart,
gt_bsid LIKE gt_bsid_bsad,
gt_bsad LIKE gt_bsid_bsad,
gt_bsik LIKE gt_bsid_bsad,
gt_bsak LIKE gt_bsid_bsad,
gt_cash_in_bank TYPE HASHED TABLE OF t_cash_in_bank
WITH UNIQUE KEY bukrs hkont,
gt_misc_collection LIKE gt_cash_in_bank,
wa_misc_collection LIKE LINE OF gt_misc_collection,
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
WITH UNIQUE KEY bukrs hkont,
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
WITH UNIQUE KEY zzbukr zubhkt,
wa_zcheck_monitor_collect LIKE LINE OF gt_zcheck_monitor_collect,
gt_outs_rel_checks LIKE gt_cash_in_bank,
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
WITH UNIQUE KEY bukrs,
wa_company LIKE LINE OF gt_company,
gt_header TYPE STANDARD TABLE OF t_header,
wa_header LIKE LINE OF gt_header.
ENDCLASS. "lcl_data_def DEFINITION
CLASS lcl_get_data DEFINITION
CLASS lcl_get_data DEFINITION INHERITING FROM lcl_data_def.
PUBLIC SECTION.
METHODS: get_bank_details,
get_gl_balances,
get_cust_items,
get_vend_items,
sum_gl_accounts,
monday_routines
IMPORTING
im_date TYPE bsis-budat
im_bukrs TYPE bsis-bukrs
im_hkont TYPE bsis-hkont
im_budat TYPE bsis-budat
im_dmbtr TYPE bsis-dmbtr,
sunday_routines
IMPORTING
im_date TYPE bsis-budat
im_bukrs TYPE bsis-bukrs
im_hkont TYPE bsis-hkont
im_budat TYPE bsis-budat
im_dmbtr TYPE bsis-dmbtr,
tuesday_routines
IMPORTING
im_date TYPE bsis-budat
im_bukrs TYPE bsis-bukrs
im_hkont TYPE bsis-hkont
im_budat TYPE bsis-budat
im_dmbtr TYPE bsis-dmbtr,
other_days_routines
IMPORTING
im_date TYPE bsis-budat
im_bukrs TYPE bsis-bukrs
im_hkont TYPE bsis-hkont
im_budat TYPE bsis-budat
im_dmbtr TYPE bsis-dmbtr,
difference_in_days
IMPORTING
im_date TYPE bsis-budat
im_budat TYPE bsis-budat
EXPORTING
ex_diff TYPE vtbbewe-atage,
outs_check_released,
process_data.
PRIVATE SECTION.
CONSTANTS: lc_credit TYPE bsis-shkzg VALUE 'H',
lc_debit TYPE bsis-shkzg VALUE 'S',
lc_nt TYPE bsis-blart VALUE 'NT',
lc_nc TYPE bsis-blart VALUE 'NC',
lc_gl_zero TYPE bsis-hkont VALUE '+++++++++0',
lc_gl_one TYPE bsis-hkont VALUE '+++++++++1',
lc_gl_three TYPE bsis-hkont VALUE '+++++++++3',
lc_monday TYPE dtresr-weekday VALUE 'Monday',"#EC NOTEXT
lc_tuesday TYPE dtresr-weekday VALUE 'Tuesday',"#EC NOTEXT
lc_sunday TYPE dtresr-weekday VALUE 'Sunday'."#EC NOTEXT
CONSTANTS: lc_k3 TYPE bsik-blart VALUE 'K3',
lc_k4 TYPE bsik-blart VALUE 'K4',
lc_k5 TYPE bsik-blart VALUE 'K5',
lc_k6 TYPE bsik-blart VALUE 'K6',
lc_k7 TYPE bsik-blart VALUE 'K7',
lc_kb TYPE bsik-blart VALUE 'KB',
lc_kd TYPE bsik-blart VALUE 'KD',
lc_31 TYPE bsid-blart VALUE '31',
lc_001 TYPE bsid-buzei VALUE '001'.
DATA: lv_hkont TYPE bsis-hkont,
lr_hkont TYPE RANGE OF bsis-hkont,
wa_hkont LIKE LINE OF lr_hkont,
lr_blart TYPE RANGE OF bsik-blart,
wa_blart LIKE LINE OF lr_blart,
lv_hkont_new TYPE bsis-hkont,
lv_hkont_old TYPE bsis-hkont,
lv_date TYPE vtbbewe-atage,
lv_budat TYPE bsis-budat,
lv_day TYPE dtresr-weekday.
ENDCLASS. "lcl_get_data DEFINITION
CLASS lcl_alv_routines DEFINITION
CLASS lcl_alv_routines DEFINITION INHERITING FROM lcl_data_def.
PUBLIC SECTION.
METHODS: build_fieldcat FINAL,
sort_alv_display FINAL.
ENDCLASS. "lcl_alv_routines DEFINITION
CLASS lcl_event_receiver DEFINITION
CLASS lcl_event_receiver DEFINITION.
PUBLIC SECTION.
METHODS:
handle_data_changed FOR EVENT data_changed OF cl_gui_alv_grid
IMPORTING
er_data_changed,
handle_top_of_page FOR EVENT print_top_of_page OF cl_gui_alv_grid,
handle_top_of_list FOR EVENT print_top_of_list OF cl_gui_alv_grid.
PRIVATE SECTION.
DATA: ls_good TYPE lvc_s_modi,
lv_treas_transactions TYPE t_output-tot_cash_bal,
lv_tot_cash_bal TYPE t_output-tot_cash_bal,
lv_outs_unrel_checks TYPE t_output-outs_unrel_checks,
lv_imp_docs_due TYPE t_output-imp_docs_due,
lv_est_cash_balance TYPE t_output-est_cash_balance.
ENDCLASS. "lcl_event_receiver DEFINITION
*/ CLASS IMPLEMENTATION/S */
CLASS lcl_get_data IMPLEMENTATION
CLASS lcl_get_data IMPLEMENTATION.
METHOD get_bank_details
METHOD get_bank_details.
FIELD-SYMBOLS: <fs_t012k> LIKE LINE OF gt_t012k.
Get bank account/s and their corresponding G/L account/s
SELECT bukrs hbkid
hktid hkont
FROM t012k
INTO TABLE gt_t012k
WHERE bukrs IN s_bukrs
AND hbkid IN s_hbkid
AND hktid IN s_hktid.
IF NOT gt_t012k[] IS INITIAL.
SORT gt_t012k BY bukrs hbkid hktid hkont.
Get company name
SELECT bukrs butxt
FROM t001
INTO TABLE gt_company
FOR ALL ENTRIES IN gt_t012k
WHERE bukrs = gt_t012k-bukrs.
LOOP AT gt_t012k ASSIGNING <fs_t012k>.
wa_hkont-sign = 'I'.
wa_hkont-option = 'EQ'.
wa_hkont-low = <fs_t012k>-hkont.
SHIFT wa_hkont-low LEFT DELETING LEADING space.
APPEND wa_hkont TO lr_hkont.
CLEAR wa_hkont.
lv_hkont_new = <fs_t012k>-hkont.
IF lv_hkont_new <> lv_hkont_old.
CLEAR lv_hkont.
lv_hkont = <fs_t012k>-hkont.
DO 4 TIMES.
ADD 1 TO lv_hkont.
CALL FUNCTION 'CONVERSION_EXIT_ALPHA_INPUT'
EXPORTING
input = lv_hkont
IMPORTING
output = lv_hkont.
wa_hkont-sign = 'I'.
wa_hkont-option = 'EQ'.
wa_hkont-low = lv_hkont.
SHIFT wa_hkont-low LEFT DELETING LEADING space.
APPEND wa_hkont TO lr_hkont.
CLEAR wa_hkont.
ENDDO.
ENDIF.
lv_hkont_old = lv_hkont_new.
ENDLOOP.
CALL METHOD me->get_gl_balances.
ENDIF.
ENDMETHOD. "get_bank_details
METHOD get_gl_balances
METHOD get_gl_balances.
Get G/L line items(Open items)
SELECT bukrs hkont belnr
buzei gjahr budat
blart dmbtr shkzg
FROM bsis
INTO TABLE gt_bsis
FOR ALL ENTRIES IN gt_t012k
WHERE bukrs = gt_t012k-bukrs
AND hkont IN lr_hkont
AND budat <= p_budat.
Get G/L line items(Cleared items)
SELECT bukrs hkont belnr
buzei gjahr budat
blart dmbtr shkzg
FROM bsas
INTO TABLE gt_bsas
FOR ALL ENTRIES IN gt_t012k
WHERE bukrs = gt_t012k-bukrs
AND hkont IN lr_hkont
AND budat <= p_budat.
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- -
Would you please give me an example about how to do an enhancement withPM01
Hi all :
Would you pleaes give me an example about how to do an enhancement withPM01 to HR transactions?
thanks in advance.
Best regards
FrankHi,
You can perform PA Infotype Enhancement with the transaction code PM01.
Use the link below for Your reference.
http://help.sap.com/printdocu/core/Print46c/en/data/pdf/PAXX/PYINT_INFOTYP.pdf
For defaulting the values to the infotype fields you have to make use of the features ( PE03 T code )
Can you elobarate your requirement..
For more help refer the following links.
http://help.sap.com/saphelp_47x200/helpdata/en/1e/728d281d5e11d289d30000e82158f1/content.htm
http://help.sap.com/saphelp_47x200/helpdata/en/f7/2fe034ee251f34e10000009b38f83b/frameset.htm
Regards,
Jagadish -
(261229964) Q MSGC-7 Can you give an example of chosing different encoding styles?
Q <MSGC-7> Can you give an example of chosing different encoding styles?
A <MSGC-7> I will refer you to the online documentation for the encoding information
at:
http://e-docs.bea.com/wls/docs61/webServices/develop.html#1036286
And the JavaDocs for the weblogic.soap.codec.CodecFactory class which describes the
register method you must use to identify which encoding style you want:
http://edocs.bea.com/wls/docs61/javadocs/weblogic/soap/codec/SoapEncodingCodec.htmlWhat is that post supposed to be?
-
Is there another way of getting apps from the appstore without putting your credit card number in, ive heard about the itunes gift card thing can anybody just give me more info about that and how i can buy free things free things from the appstore...pls help as im only a teenager and have no credit credit and my parents dont trust me with theres and they dont care about the fact that you can set up a password/.... PLEASE SOMEONE HELP I WILL BE SO GRATEFUL... And i would really like to get the iphone 4 but if there is no way of etting apps without your credit number then i would have to get a samsung galaxy s3 maybe ...
You can set up an Apple ID without a credit card.
Create iTunes Store account without credit card - Support - Apple - http://support.apple.com/kb/ht2534 -
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:
se16
RSZ* then F4
then I Double click on:
i.
RSZRANGE Selection specification for an element
If execute, I get a table with a several fields with values.
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
similarly, here I found fields with operators and mostly numbers.
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 lets generate reports against them. I though tin BW, reports are always generated against data targets (ODS, Cubes, etc). I didnt 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?
ThanksAmanda,
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.
RSA1 is just a front end and all the information you see are all coming from tables which are stored here. go to SE80 or SE11 and search for the tables behind the screens. Every bit of detail that you see is coming from tables or available in tables. There are many tables and they are all relational. So you can pretty much do anything you like in accessing them. Please just read (SELECT) from them. Don't try to delete, insert anything unless you know what you are doing absolutely.
Hope this helps.
Good luck with your learning.
Alex. -
Can anyone give me some link about the axample about the tree
Dear All:
I am learning something about the tree, is there any one can provide a link about a an example for tree node deletion /add?
and I also need an example about drop and drag a node from the tree too.
Thank you very much !Start with this section from the Swing tutorial on "How to Use Trees":
http://java.sun.com/docs/books/tutorial/uiswing/components/tree.html
The Swing Connections has a couple of articles that might help:
http://java.sun.com/products/jfc/tsc/articles/ -
Can anyone give me an example for crm_svy_..._pai?
Hi all, I have a survey, there are several questions. After I input the answers, I click the 'CHECK' button, I will check the answers. There will be different response to my answers. If the answer is not correct, I will post an error message.
And I also need to retrieve data from tables to fill the blank.
I am a beginner for CRM survey, can anyone help me? I create a FM:crm_svy_..._pai, and code in it right? But how can I do it?
Can anyone give me an example for crm_svy_..._pai to do what I need?
Many many thanks in advance!!
Heare is an example, but I don't its function and how does it work..
read table lt_all_values into ls_value
with key answer_id = 'get_value'.
if sy-subrc = 0.
data: lt_values type crm_svy_api_string_t.
append ls_value-value to lt_values.
call method ir_survey_values->values_set
exporting
i_question_id = 'set_value'
i_answer_id = 'set_value'
it_values = lt_values.
endif.Hi Yu,
Could you tell how you solved your issue?
Regards and tx in advance,
Mon
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