Closing balance

hello experts,
          i need to show closing balance for customer line open items in fbl5n header level.should i take dmbtr field from bsid table?or umsav field?is there any FM for closing balance?plz help me.
thanks.

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  • Open and closing balances std report

    Dear All,
    please suggest me open and closing balances std report and can i suggest my user below t.code for viewing open and closing balnces for India scenarion T.code:J3RFLVMOBVED
    Regards
    Gopal.S

    hi
    kindly chk MB5B it will fullfill your requirement
    regards
    praveen.k

  • FAGL Table to fetch closing balances period wise

    Dear Experts,
    I want to fetch GL Closing balances period wise.  I have checked GLT0, where no entry is recorded.
    Further i have checked FAGLFLEXT, which does not support period wise closing balances.
    I require GL closing balance, period wise, as shown in FS10N in FI.
    My requirement is to display period wise closing balance,  on GL,  in the report.
    Please suggest and advise.
    Thanks in advance......Alok

    Hi,
    Debug the program RFGLBALANCE , the code and the logic used is easily understandable

  • GL account opening/closing balances by day

    Hi All.
    I wish to list day by day opening and closing balances of G/L account by restricting the result to a time interval.
    Anyone know how to write the query for G/L account opening & closing balances by day?
    I found this in the forum and modify it to below:
    declare @fr char(10)
    declare @to char(10)
    set @fr=convert (char(10),[%0],20)
    set @to=convert (char(10),[%1],20)
    declare @PrCl dec(19,6)
    declare @de dec(19,6)
    declare @cr dec(19,6)
    declare @acc char(20)
    declare @Pracc char(20)
    Create table #W
      (M char(10), Acc char(20), Me char(100), Tid char(10), Br char(10), TT char(30), Op dec(19,6),De dec(19,6),Cr dec(19,6),Cl dec(19,6) )
    Insert into #W (M,Acc,Me,Tid,Br,TT,Op,De,Cr,Cl)
    SELECT convert (char(10),T1.[RefDate],20)Mo, T1.[Account],T0.Memo, T0.TransId, T0.BaseRef, CASE
    WHEN T0.TransType = 13 THEN 'AR Inv'
    WHEN T0.TransType = 14 THEN 'AR CN'
    WHEN T0.TransType = 18 THEN 'AP Inv'
    WHEN T0.TransType = 19 THEN 'AP CN'
    WHEN T0.TransType = 24 THEN 'Incoming Payment'
    WHEN T0.TransType = 30 THEN 'JE'
    WHEN T0.TransType = 46 THEN 'Outgoing Payment'
    ELSE 'Other'
    END AS 'Trans Type',
      0,T1.[Debit] De , T1.[Credit] Cr,0
    FROM OJDT T0 INNER JOIN JDT1 T1 ON T0.TransId = T1.TransId
    Group by T1.[Account],convert (char(10),T1.[RefDate],20),T0.Memo, T0.TransId, T0.BaseRef, T0.TransType,  T1.Debit, T1.Credit
    Order By T1.[Account],convert (char(10),T1.[RefDate],20)
    Declare cu cursor for
    Select acc,de,cr from #W
      for update
    set @PrAcc=''
    Open cu
    Fetch next from cu into @acc,@de,@cr
    While @@FETCH_STATUS = 0
    Begin
    If @acc!=@PrAcc set @PrCl=0
    Update #W
       set op=@PrCl,
           cl=@PrCl-@Cr+@de
      where current of cu
    set @PrCl=@PrCl-@Cr+@de
    set @PrAcc=@acc
    Fetch next from cu into @acc,@de,@cr
    End
    deallocate cu
    Select * from #w
    Where M between @fr and @to
    Drop table #W
    but some of the rows are missing from the result. e.g. row with the same value of debit/credit ( same TransId and BaseRef) will come out once only in the result.
    Please guide me on the above issue.
    Thanks & Best Regards,
    Leng

    Hi,
    You have to make use of many tables for this purpose.
    1. You have to claculate the previuos period and finscal year for the given date..
    2. You have to calculate the G/L balances for this period for the given G/L account from table GLT0.(You can use some of the standard function modules for the same)
    3. You have get the line items from the various tables like BSIS,BSAS,BSIK, BASK, BSID and BSAD for the dates from the begining of the month to the given date-1. sum upthis amount with the amount retrieved from step 2 .This will be the opening balance for the given date.
    4.retrieve the data from he same tables like step 3 for the given date. This will the transactions of the given date.
    5. sum up  the amounts from step 4 with step 3. this will be the closing balance for that date.
    let me know id you want any further info..
    Reward the points if i answered your question..

  • Opening and Closing balance in FBL3N?

    Hi All,
    In other ERP systems, if you browse GL Account, i.e. FBL3N in SAP, you get the list of documents within specified period but in other systems you also get the OPENING balance as well as CLOSING balance and the current postings are in between them. Is there any standard report or report painter is to be used for such requirement.
    Balances can be checked through FS10N and S_ALR_87012301 etc. but requirement is to get the list of documents with opening and closing balance in beginning and end of the report. The best example is of Cash Journal (Txn FBCJ)
    Thanks

    Thank you Will,
    Yes, actually if other system provide such functionality then SAP should be providing that. I searched within table TSTC for such transaction but unable to get. Accountants requirement is when they execute FBL3N within specified period, the cummulative opening balance and closing balance should be provided with report.
    Thanks for your answer!
    Regards,
    Nayab

  • Opening & Closing balances of Vendor

    Hi Experts,
    I am doing a report where in i need to get the opening & closing balances for Vendor(s). I am using BSIK & BSAK tables. Are there any more tables involved and how do i carry out the calculations?
    Please help.
    Thanks
    Dany

    hi Dn,
    That would suffice for your requirement .
    Regards,
    Santosh

  • Opening & closing balances for Vendor

    Hi Experts,
    I am doing a report where in i need to get the opening & closing balances for Vendor(s). I am using BSIK & BSAK tables. Are there any more tables involved and how do i carry out the calculations?
    Please help.
    Thanks
    Dany

    Hi,
    There are various t. code to check line items for vendor like: S_ALR_87012103 but Any table is not helping to check opening/closeing balance for vendor.
    Table BSIK and BSAK are having are records for open items and close items for vendor and system calculate the balance by using these tables.
    Regards,
    Vinod

  • Opening and closing balance logic

    How to get opening and closing balances for a material and chapter-id for tarif-wise report for sales and captive consumption...
    Edited by: vijetasap on Apr 13, 2009 2:25 PM

    Hi Vijeta...
    Try posting this question related to the functional domain forum of your requirement.. you might have more luck there..

  • Opening Balances and Closing Balance of customer

    Hi,
    Does SAP provide any standard customer account statement for Opening Balances and Closing Balance for specific date range have given in selection screen?
    The statement also contains reference number, order, and Delivery number.
    Note: FBL5N Transaction code will not sufficient for the requirement, so looking for any other transaction code / report provided by SAP already for it.
    Thanks in advance,
    Shwetha

    Hi,
    There are several standard reports which could be easily accessed through the menu (Accounts Receivable - Information systems). If none of these reports does not suit your requirement, you have to develop your own.
    Regards,
    Eli

  • GL a/c opening and closing balances

    Hi All,
    Below is my selection screen:
    select-options : s_bukrs for bkpf-bukrs obligatory.
    parameter      :  p_gjahr like bkpf-gjahr obligatory.
    select-options : s_budat for bkpf-budat,
                           s_monat for bkpf-monat,
                           s_hkont for bseg-hkont.
    I am displaying the data from tables BKPF, BSEG, KNA1-NAME1, LFA1-NAME1, SKAT-TXT50. I have to fetch Opening and Closing balances for GL a/c's. I am fetching data from table GLT0-HSLVT(opening balance). But unable to get the data for closing balance based on the period given on the selection screen. In my report I am looping on table it_bseg to populate the final internal table. How to get the closing balances's total based on the input.
    Please help me.
    Thanks,
    Haritha

    Hello Haritha,
                        Try this code by building a function module. This would cover both opening and closing balance.
    FUNCTION ZGL_OPENING_CLOSING_BAL_KEYDAT.
    *"*"Local Interface:
    *"  IMPORTING
    *"     REFERENCE(COMP) TYPE  BKPF-BUKRS
    *"     REFERENCE(DATE) TYPE  BKPF-BUDAT
    *"     REFERENCE(ACCT) TYPE  BSEG-HKONT
    *"  EXPORTING
    *"     REFERENCE(BALANCE) TYPE  BSEG-DMBTR
    DATA : COMPANYCODEID  LIKE  BAPI0002_2-COMP_CODE     ,
    POSTING_DATE   LIKE  BAPI0002_4-POSTING_DATE  ,
    FISCAL_YEAR    LIKE  BAPI0002_4-FISCAL_YEAR   ,
    FISCAL_PERIOD  LIKE  BAPI0002_4-FISCAL_PERIOD .
    DATA : ACCOUNT_BALANCES  TYPE TABLE OF BAPI3006_4 WITH HEADER LINE.
    DATA : BAL TYPE BSEG-DMBTR.
    DATA : IV_DATE  TYPE  D   ,
    EV_MONTH_BEGIN_DATE  TYPE  D,
    EV_MONTH_END_DATE  TYPE  D .
    DATA : COMPANYCODE  LIKE  BAPI3006_0-COMP_CODE,
    GLACCT  LIKE  BAPI3006_0-GL_ACCOUNT ,
    FISCALYEAR  LIKE  BAPI3006_4-FISC_YEAR,
    CURRENCYTYPE  LIKE  BAPI3006_5-CURR_TYPE VALUE 10.
    DATA : IT_BKPF TYPE TABLE OF BKPF WITH HEADER LINE.
    DATA : BEGIN OF IT_BSEG OCCURS 0,
    BELNR TYPE BSEG-BELNR,
    GJAHR TYPE BSEG-GJAHR,
    SHKZG TYPE BSEG-SHKZG  ,
    DMBTR TYPE BSEG-DMBTR,
    END OF IT_BSEG.
    COMPANYCODEID = COMP.
    POSTING_DATE = DATE.
    IV_DATE  = DATE.
    CALL FUNCTION 'HR_JP_MONTH_BEGIN_END_DATE'
    EXPORTING
    IV_DATE             = IV_DATE
    IMPORTING
    EV_MONTH_BEGIN_DATE = EV_MONTH_BEGIN_DATE
    EV_MONTH_END_DATE   = EV_MONTH_END_DATE.
    CALL FUNCTION 'BAPI_COMPANYCODE_GET_PERIOD'
    EXPORTING
    COMPANYCODEID = COMPANYCODEID
    POSTING_DATE  = POSTING_DATE
    IMPORTING
    FISCAL_YEAR   = FISCAL_YEAR
    FISCAL_PERIOD = FISCAL_PERIOD.
    IF EV_MONTH_END_DATE NE DATE.
    IF FISCAL_PERIOD = 1.
    FISCAL_PERIOD = 12              .
    FISCAL_YEAR = FISCAL_YEAR - 1  .
    ELSE.
    FISCAL_PERIOD =  FISCAL_PERIOD - 1.
    ENDIF.
    ENDIF.
    COMPANYCODE  =  COMP.
    GLACCT  = ACCT.
    FISCALYEAR  = FISCAL_YEAR.
    CALL FUNCTION 'BAPI_GL_ACC_GETPERIODBALANCES'
    EXPORTING
    COMPANYCODE      = COMPANYCODE
    GLACCT           = GLACCT
    FISCALYEAR       = FISCALYEAR
    CURRENCYTYPE     = CURRENCYTYPE
    TABLES
    ACCOUNT_BALANCES = ACCOUNT_BALANCES.
    READ TABLE ACCOUNT_BALANCES  WITH KEY FISC_YEAR = FISCALYEAR FIS_PERIOD = FISCAL_PERIOD.
    IF SY-SUBRC = 0.
    BALANCE =  ACCOUNT_BALANCES-BALANCE.
    ENDIF.
    IF EV_MONTH_END_DATE NE DATE.
    SELECT * FROM BKPF INTO TABLE IT_BKPF WHERE BUKRS = COMP AND BUDAT >= EV_MONTH_BEGIN_DATE
    AND BUDAT <= DATE.
    IF IT_BKPF[] IS NOT INITIAL.
    SELECT BELNR GJAHR SHKZG DMBTR
    FROM BSEG INTO CORRESPONDING FIELDS OF TABLE IT_BSEG
    FOR ALL ENTRIES IN IT_BKPF
    WHERE BELNR = IT_BKPF-BELNR AND GJAHR = IT_BKPF-GJAHR AND HKONT = ACCT AND BUKRS = COMP.
    ENDIF.
    LOOP AT IT_BSEG.
    IF IT_BSEG-SHKZG = 'H'.
    BAL = BAL - IT_BSEG-DMBTR.
    ELSEIF IT_BSEG-SHKZG = 'S'.
    BAL = BAL + IT_BSEG-DMBTR.
    ENDIF.
    ENDLOOP.
    BALANCE = BALANCE + BAL.
    ENDIF.
    ENDFUNCTION.
    Raghav

  • Customer Statement with opening and closing balances

    Dear Forum,
    The users want to generate the Customer Statement with opening and closing balances like the traditional one. The statement now generated gives the list of all open items as on date, but the users want the statement with opening balances as on the date of the begining of the range specified and the closing balance at the end of the period for which the statement is generated. Is there a way to generate the same from the system.
    Thanks for the help.
    Regards,

    Hi,
    SPRO> Financial Accounting (New) > Accounts Receivable and Accounts Payable > Customer Accounts > Line Items > Correspondence > Make and Check Settings for Correspondence
    You can use the program RFKORD10 with correspondance type SAP06 for your company code
    This program prints account statements and open items lists for customers and vendors in letter form. For account statements, all postings between two key dates, as well as the opening and closing balance, are listed.
    Regards,
    Gaurav

  • Opening and closing balances

    Hi sapgurus
    I need a report with similar to MB5B at particular posting date with opening and closing balances but I am unable to download the report to excel the data with MB5B tranasaction.Is there any similar transaction with same output values which can be easily transported to excel from Sap.
    Thanx

    Hi,
    I tested in ECC6.0 and i could able to do so, you try as mentioned below.
    In the output screen of MB5B, goto menu details > click on list > select save > select file > select spreadsheet. Here you can save tthe output in excel format.
    Regards,
    Prabu

  • Vendor Line item with Opening and Closing Balances report regarding

    Dear All,
    I need a report for vendor line items with Opening and Closing balances.
    Thanks in advance
    Sateesh

    Hi
    Try S_ALR_87012082 - Vendor Balances in Local Currency
    Regards
    Sanil Bhandari

  • Calculate closing balance

    Hi everyone,
    I've got a problem with writting a formula wich will calculate a closing balance for each account side, I mean debet and credit. In my SQL database I've got columns with: OpeningBalanceDt, OpeningBalanceCt , DtTurnover, CtTurnover, IDaccount and TIMEID.
    When I create a Calculated Field:
    BalanceDt:=IF(([OBDt+Dt]-[ObCt+Ct])>0;[OBDt+Dt]-[ObCt+Ct];0)
    BalanceCt:=IF(([ObCt+Ct]-[OBDt+Dt])>0;[ObCt+Ct]-[OBDt+Dt];0)
    it works for particular account eg:11575, but it doesn't when I remove filter and check global account nr 111 (then I have per account result).
    Do you have any idea what formula I need to write to have a proper view it pivot table for both account side ? Meaby I need to create a calculate column not filed...
    The problem concerns the fact that pp check columns globally and then compare calculeted sum. In this case global sum of BalanceDt has a higher value than BalanceCt so the final balance is Dt.
    In excel I can calculate 2 columns:
    =if((OBDt+Dt-(ObCt+Ct))<=0;0;OBDt+Dt-(ObCt+Ct))
    =if((OBCt+Ct-(ObDt+Dt))<=0;0;OBCt+Ct-(ObDt+CDt))
    and when I create a sum I've got a proper result. Maybe the solution will be in grouping the accounts and then conduct a comparision.
    Thanks in advice,
    Paul

    Hi,
    I will change a subject a little bit. Now I have the following columns:
    ObrotyKontID, WN, MA, BO_WN, BO_MA, KontoFinansoweID, KontoSyntetyczneID and TIMEID. Guy from ERP wrote two formulas which works perfect in system and calculate closing balance for each account side:
    Debit
    Sum(Filter(existing[KontoAnalityczne],[Measures].[ObrotyWNNar]>[Measures].[ObrotyMANar]),[Measures].[ObrotyWNNar]-[Measures].[ObrotyMANar])
    Credit
    Sum(Filter(existing[KontoAnalityczne],[Measures].[ObrotyWNNar]<[Measures].[ObrotyMANar]),[Measures].[ObrotyMANar]-[Measures].[ObrotyWNNar])
    and 2 more formulas to calculate Debit and Credit
    ObrotyWNNar
    Sum(StrToMember("[Czas].[Miesiąc].&["+left(Tail(existing [SET_Data]).Item(0).Properties("KEY"),4)+"01]"
    ):StrToMember("[Czas].[Miesiąc].&["+left(Tail(existing [SET_Data]).Item(0).Properties("KEY"),6)+"]"
    ),[Measures].[ObrotyWN]+[Measures].[BO WN])
    ObrotyMANar
    Sum(StrToMember("[Czas].[Miesiąc].&["+left(Tail(existing [SET_Data]).Item(0).Properties("KEY"),4)+"01]"
    ):StrToMember("[Czas].[Miesiąc].&["+left(Tail(existing [SET_Data]).Item(0).Properties("KEY"),6)+"]"
    ),[Measures].[ObrotyMA]+[Measures].[BO MA])
    I have got the same sum in ObrotyWNNar by forumla
    =[WN]+[BO_WN]
    and ObrotyMANar by
    =[MA]+[BO_MA]
    However I can't create proper formulas in powerpiwot which calculate Debit and Credit.  I suppose that I need to use some agregate formulas like SUMX.
    If anyone have any idea ?
    Thanks in advice,
    Paul

  • Debit,credit ,opening balance,closing balance..doubt.

    Dear friends,
                   I am working in FI report (vendor balance for date ranges) .Its a ALV report. I want to fetch the datas for debit ,
    credit,opening balance,closing balance,for the paticular vendor or all vendors for date ranges.the table for this iam using is BSIK AND LFC1.
    all the datas stored in the table is for month wise,but my programe (my user needs even for day wise) how to calculate this,
    or is there any function modules avaliable  or can u konw any other table storing day wise balances...this report is urgent ..
    any one pls suggest me .advance thanks..
    regards
    veera

    if user wants day wise then make use of BSAK+BSIK, here u will get all line items daywise , i mean to say Posting daywise.
    BUDAT        31.03.2003---->posting date
    BLDAT        31.03.2003
    CPUDT        31.03.2003
    WAERS        INR
    XBLNR        T&E-29-30.3-PNPT
    BLART        PA
    MONAT        3
    BSCHL        31
    ZUMSK
    SHKZG        H------------>D/C
    GSBER--------------------->Business Area
    MWSKZ-------------------->tax Code.
    DMBTR        1,507.00
    WRBTR        1,507.00
    regards
    Prabhu

  • Mismatchin in opening & closing balance  ofj2i9 & j2i6 register

    Hi,
    We have done utilization on 1st of Month but the posting date was entered as 31st of previous month.
    Now the system showing mismatch in J2I9 & J2I6 between opening & closing balances for the previous period. The entry is missing in J2I9 but the same it is showing in J2I6 as Dr Entry. Why the system is not showing the Dr Entry in J2I9.And moreover the opening & closing balances are matching for the current and last month, but there is mismatch in the month of Dec in the same month utilization was carried out on 1st of Jan but posting date was entered as 31st Dec. What could be reason?
    Rgs

    HI !
    Now that we have not maintained the values in J_2iRG1bal, so how do I  correct the problem, what should I do so that the opening balance & closing balance values appear in the RG1 report.
    Kindly suggest.
    Regards,
    DGN

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