Continious Cheque Priniting.
Hai SAP Gurus.
In the continious chque printing, we have problem. the size of the cheque has increased from 11inch to 12inch.
We have done the changes in layout buy increasing to 12inch. But when we are taking a continious print out
the second sheet is moving up and third sheet still moves futher and so on.
Is there any solution. Kindly guide me , iam despirate.
Thanks.
Hi..
Check the sheet ouptut property...check if the height of the output sheetis correct
regards
Marco
Similar Messages
-
Hi,
If there are 5 pages in the Cheque print, i want cheque numbers to be printed on all
the pages like.
Cheque Number - 200
i want : 1st page(void) -200A
2nd Page- void -200B
3rd page -void -200C
4 page -void - 200D
5 page - 200(original Cheque numebr).
Can any one help on this.
Thanks,
Donald AlfredSFORMZCHEQUE
HFORMZCHEQUE
OLANE
HEADFORM ZCHEQUE SAP DEF ECHEQUE PRINTING ZCHEQUE 00004VIJAY 700 20070613121521VIJAY 700 2007061418062913200024 E0 201
LINE/:FORM CPI 10; LPI 6; TAB-STOP 1 CM; START-PAGE FIRST; FORMAT ZCHQ PORTRAIT;
LINE/:FORM PARAGRAPH AS; RDI; RDIDEV;
LINE/:PARAGRAPH AS LINE-SPACE 1 LN; FONT TIMES; FONT-SIZE 10; LEFT-INDENT 2.50 CM;
LINE/:PARAGRAPH P1 LINE-SPACE 1 LN; FONT COURIER; FONT-SIZE 10; BOLD ON;
LINE/:PARAGRAPH P1 ITALIC OFF; ULINE OFF;
LINE/:PARAGRAPH P2 LINE-SPACE 1 LN; FONT COURIER; FONT-SIZE 10; BOLD ON;
LINE/:PARAGRAPH P3 LINE-SPACE 8 MM; FONT COURIER; FONT-SIZE 10; BOLD ON;
LINE/:PARAGRAPH P3 ITALIC OFF; ULINE OFF;
LINE/:PARAGRAPH P4 LINE-SPACE 1 LN; FONT COURIER; FONT-SIZE 10; BOLD ON;
LINE/:PARAGRAPH P4 ITALIC OFF; ULINE OFF;
LINE/:PARAGRAPH P5 LINE-SPACE 1 LN; FONT COURIER; FONT-SIZE 10; BOLD ON;
LINE/:PARAGRAPH P5 ITALIC OFF; ULINE OFF;
LINE/:PARAGRAPH P1 TAB 1 17.25 CM LEFT;
LINE/:PARAGRAPH P2 TAB 1 2.50 CM LEFT;
LINE/:PARAGRAPH P3 TAB 1 3 CM LEFT; TAB 2 7.50 CM LEFT;
LINE/:PARAGRAPH P5 TAB 1 1 CM LEFT;
LINE/:STRING CH MARK OFF;
LINE/:WINDOW CHEQUE TYPE VAR;
LINE/:WINDOW MAIN
LINE/:WINDOW PAYMENT TYPE VAR;
LINE/:PAGE FIRST NEXT FIRST; PAGE-COUNT START; PRINTMODE S;
LINE/:PAGE FIRST MAIN 0 0.05 CM 0.05 CM 20.30 CM 9.30 CM;
LINE/:PAGE FIRST WINDOW CHEQUE 0 CM 18.70 CM 20.30 CM 9.30 CM;
LINE/:PAGE FIRST WINDOW PAYMENT 0 CM 9.30 CM 20.30 CM 9.40 CM;
END
HEADFORM ZCHEQUE SAP TXT ECHEQUE PRINTING ZCHEQUE 00004VIJAY 700 20070613121521VIJAY 700 2007061418062913200072 E0 201
LINE/:FORM TEXT 'CHEQUE PRINTING';
LINE/:PARAGRAPH AS TEXT 'Paragraph left-justified';
LINE/:PARAGRAPH P1 TEXT 'for date';
LINE/:PARAGRAPH P2 TEXT 'for payee';
LINE/:PARAGRAPH P3 TEXT 'amount in words';
LINE/:PARAGRAPH P4 TEXT 'for amount in numbers';
LINE/:PARAGRAPH P5 TEXT 'for first line';
LINE/:STRING CH TEXT 'default character';
LINE/:WINDOW CHEQUE TEXT 'CHEQUE PRINTING';
LINE/:WINDOW MAIN TEXT 'MAIN WINDOW';
LINE/:WINDOW PAYMENT TEXT 'PAYMENT MODE';
LINE/:PAGE FIRST TEXT 'First Page';
LINE/WCHEQUE
LINE/EZAMOUNT
LINE/*,,&V_AMNT&
LINE*
LINEP4®UD-SWNES&
LINEP4
LINE/WMAIN
LINE/ECheque formatparZDATA
LINE/:IF ®UH-RZAWE& EQ 'A' OR ®UH-RZAWE& EQ 'B'OR ®UH-RZAWE& EQ 'C'
LINE/:IF &PAYR-HBKID& EQ 'HDFC'
LINEP1,,®UH-ZALDT&
LINE/*,,,,,,,,<CH>NOT OVER Rs.&V_AMNT&</>,,,,,,,,,,,,,,,,®UH-ZALDT&
LINEP1
LINEP1
LINEP1
LINEP2 ,,&VNAME&
LINEP3,,&V_SPELL_STRING&
LINEP3&V_SPELL_STRING1&&V_SPELL_STRING2&
LINEP3
LINEP3
LINE/*,,,,®UD-CHECT&
LINE/:ELSE
LINEP1
LINEP1,,®UH-ZALDT&
LINE/*,,,,,,,,<CH>NOT OVER Rs.&V_AMNT&</>,,,,,,,,,,,,,,,,®UH-ZALDT&
LINEP1
LINEP2,,&VNAME&
LINEP1
LINEP3,,&V_SPELL_STRING&
LINEP3&V_SPELL_STRING1&&V_SPELL_STRING2&
LINEP3
LINEP3
LINE/*,,,,®ud-chect&
LINE/:ENDIF
LINE/:ELSE
LINE/:IF &PAYR-HBKID& EQ 'HDFC'
LINEP1,,®UH-ZALDT&
LINEP1
LINEP1
LINEP1
LINEP2,,YOURSELF
LINEP3,,&V_SPELL_STRING&
LINEP3&V_SPELL_STRING1&&V_SPELL_STRING2&
LINEP3
LINEP3
LINE/*,,,,®ud-chect&
LINE/:ELSE
LINEP1
LINEP1,,®UH-ZALDT&
LINEP1
LINEP2,,YOURSELF
LINEP1
LINEP3,,&V_SPELL_STRING&
LINEP3&V_SPELL_STRING1&&V_SPELL_STRING2&
LINEP3
LINEP3
LINE/*,,,,®ud-chect&
LINE/:ENDIF
LINE/:ENDIF
LINE/:
END
ACTVSAP
E
above one is form
this one is program for cheque printing
*& Report ZPAY_ADV
REPORT ZPAY_ADV.
data: s_belnr type bseg-belnr, "docu no
s_wrbtr1 type bseg-wrbtr, "item amount
s_wrbtr type bseg-wrbtr, "item amount after discount
s_qbshb type bseg-qbshb. "discount
data: txt TYPE C.
data: v_wrbtr type string,
v_wrbtr1 type string,
v_qbshb type string.
data: S_VBLNR type REGUH-VBLNR,
s_net type bseg-wrbtr,
v_net1(17) type c,
s_gjahr TYPE bseg-gjahr, "fiscal year
s_gsber type bseg-gsber. "business area
Line Items
FORM ITM TABLES ITM_IN STRUCTURE ITCSY
ITM_OUT STRUCTURE ITCSY.
clear: s_wrbtr, s_qbshb, s_wrbtr1,
v_wrbtr, v_wrbtr1, v_qbshb.
read table itm_in with key 'REGUP-BELNR'.
s_belnr = itm_in-value.
READ TABLE ITM_IN with key 'REGUD-GJAHR'.
s_gjahr = ITM_IN-VALUE.
select single wrbtr
qbshb
from bseg
into (s_wrbtr, s_qbshb)
where belnr = s_belnr and
gjahr = s_gjahr and
buzei = 001.
select single wrbtr
from bseg
into s_wrbtr1
where belnr = s_belnr and
gjahr = s_gjahr and
buzei = 002.
v_wrbtr1 = s_wrbtr1.
v_wrbtr = s_wrbtr.
IF s_qbshb is NOT INITIAL.
v_qbshb = s_qbshb.
CONDENSE v_qbshb.
txt = 'X'.
ENDIF.
CONDENSE : v_wrbtr, v_wrbtr1.
read table itm_out index 1.
itm_out-value = v_wrbtr1.
modify itm_out index 1.
read table itm_out index 2.
itm_out-value = v_qbshb.
modify itm_out index 2.
read table itm_out index 3.
itm_out-value = v_wrbtr.
modify itm_out index 3.
read table itm_out index 4.
itm_out-value = txt.
modify itm_out index 4.
ENDFORM.
Totals
FORM CONV TABLES ITF_IN STRUCTURE ITCSY
ITF_OUT STRUCTURE ITCSY.
clear: s_vblnr, s_net, v_net1.
READ TABLE ITF_IN WITH KEY 'REGUH-VBLNR'.
S_VBLNR = ITF_IN-VALUE.
select single gsber
wrbtr
from bseg
into (s_gsber , s_net)
where belnr = s_vblnr and
gjahr = s_gjahr and
bschl = '50' .
v_net1 = s_net.
condense v_net1.
read table itf_out index 1.
itf_out-value = v_net1.
modify itf_out index 1.
ENDFORM.
Header
form hdr TABLES ith_in structure itcsy
ith_out structure itcsy.
data : s_name type TSPAT-VTEXT.
case s_gsber+0(2).
when '11'.
s_name = 'BARMAG'.
when '12'.
s_name = 'SCHLAFHORST'.
when '13'.
s_name = 'Zinser'.
when '14'.
s_name = 'Melco'.
when '15'.
s_name = 'Neumag'.
endcase.
read TABLE ith_out index 1.
ith_out-value = s_name.
modify ith_out index 1.
endform. -
Cheque and Payment Advice print
Hello All,
We have a requirement on Cheque printing and Payment advice printing functionality.
We are converting both the standard Sap scripts of Cheque print RFFOUS_C and Payment advice to a Z program.
It's like we have a cheque format which is priniting the Cheque and payment advice in the different pages.
Is it possible to print both on the same pages?
If yes what are the pre-requisites-
one thing i think is the dimensions of the cheque to invoke the customizations.
Pls. let me know anymore information is required to proceed futher?
Regards,
Sumana.Hello.
I have the same issue. My client requirement is to print the cheque on top and payment advice at the bottom, they have a pre-printed stationary with this format.
They use the f-58 transaction to clear the vendor line items and print the cheque straight from there. Currently cheque is getting printed but they want to the payment advice to be printed below the cheque at the same time.
I did some research but could not find a solution. If you have found a asnwer please let me know, Will let you know the solution if I find first
Best regards,
Isuru -
Printer model for check priniting
Hi Frineds,
i would like to know about which printer model would be suitable for check printing, provided the priniter model should be compatable with SAP
Awaiting your reply
Regards
AyushHi,
Printer model is not a big deal in cheque printing...but the configuration of the printer should be same. i.e., at the client location they might use HP LASER JET printer and in your development location you may use DOT matrix printer, but both should have same configuration. This configuration would be set by hardware engineers or in some cases that can be done by BASIS people.
I have encountered the same problem in my earlier project. The onsite people were using HP laser jet printer of 'X' model and in my development side i have a HP laser jet printer of 'Y' model. but the basis people made the configuration of both printers as one and the same. Then the printout has come replica of one another.
thanks & regards
Kishore M -
Impressão de Cheques - Padrão Brasileiro - SAP Business One v. 8.8
Olá Experts!
O Layout de impressão de cheques default do SAP Business One 8.8 que está pré configurado no PLD imprime cheques nos padrões brasileiros? Ou tenho que customizar o PLD para imprimir os cheques?
Muito obrigado,
Ricardo VieiraResolvi o problema alterando o PLD dos cheques.
-
Dear All Gurrus
i am facing an Abap Dump when user send cheque Printing .other document printing are Ok .please see this error
Runtime errors LOAD_PROGRAM_NOT_FOUND
Occurred on 04.06.2007 at 16:18:50
Program " " not found.
What happened?
There are several possible reasons for the error:
or
The current ABAP program had to be terminated because the
ABAP processor detected an internal system error.
The current ABAP program "SAPLF028" had to be terminated because the ABAP
processor discovered an invalid system state.
What can you do?
Print out the error message (using the "Print" function)
and make a note of the actions and input that caused the
error.
To resolve the problem, contact your SAP system administrator.
You can use transaction ST22 (ABAP Dump Analysis) to view and administer
termination messages, especially those beyond their normal deletion
date.
Error analysis
On account of a branch in the program
(CALL FUNCTION/DIALOG, external PERFORM, SUBMIT)
or a transaction call, another ABAP/4 program
is to be loaded, namely " ".
However, program " " does not exist in the library.
Possible reasons:
a) Wrong program name specified in an external PERFORM or
SUBMIT or, when defining a new transaction, a new
dialog module or a new function module.
b) Transport error
b) Transport error
How to correct the error
Check the last transports to the R/3 System.
Are changes currently being made to the program "SAPLF028"?
Has the correct program been entered in table TSTC for Transaction "FBZ4 "?
You may able to find an interim solution to the problem
in the SAP note system. If you have access to the note system yourself,
use the following search criteria:
"LOAD_PROGRAM_NOT_FOUND" C
"SAPLF028" or "LF028U06"
"PAYMENT_FORM_PRINT"
If you cannot solve the problem yourself, please send the
following documents to SAP:
1. A hard copy print describing the problem.
To obtain this, select the "Print" function on the current screen.
2. A suitable hardcopy prinout of the system log.
To obtain this, call the system log with Transaction SM21
and select the "Print" function to print out the relevant
part.
3. If the programs are your own programs or modified SAP programs,
supply the source code.
To do this, you can either use the "PRINT" command in the editor or
print the programs using the report RSINCL00.
4. Details regarding the conditions under which the error occurred
or which actions and input led to the error.
System environment
SAP Release.............. "620"
Application server....... "PKSAPT10"
Network address.......... "184.208.96.235"
Operating system......... "Windows NT"
Release.................. "5.0"
Hardware type............ "4x Intel 801586"
Character length......... 8 Bits
Pointer length........... 32 Bits
Work process number...... 0
Short dump setting....... "full"
Database server.......... "PKSAPT10"
Database type............ "MSSQL"
Database name............ "T10"
Database owner........... "t10"
Character set............ "English_United State"
SAP kernel............... "640"
Created on............... "Oct 29 2006 23:44:46"
Created in............... "NT 5.0 2195 Service Pack 4 x86 MS VC++ 13.10"
Database version......... "SQL_Server_8.00 "
Patch level.............. "155"
Patch text............... " "
Supported environment....
Database................. "MSSQL 7.00.699 or higher, MSSQL 8.00.194"
SAP database version..... "640"
Operating system......... "Windows NT 5.0, Windows NT 5.1, Windows NT 5.2"
User, transaction...
Client.............. 210
User................ "AGHAZNAVI"
Language key........ "E"
Transaction......... "FBZ4 "
Program............. "SAPLF028"
Screen.............. "SAPMF05A 0700"
Screen line......... 43
Information on where terminated
The termination occurred in the ABAP program "SAPLF028" in
"PAYMENT_FORM_PRINT".
The main program was "SAPMF05A ".
The termination occurred in line 332 of the source code of the (Include)
program "LF028U06"
of the source code of program "LF028U06" (when calling the editor 3320).
Source code extract
003020 IF sy-subrc NE 0 "bei nicht in PAYR vorhandenen o.
003030 AND payr-vblnr EQ reguh-vblnr. "durch FCH7 (Scheck neu drucken)
003040 opayf-pstap = 0. "in Auftrag gegebene Schecks wird
003050 ELSE. "der Stapel mitgegeben, sonst die
003060 CLEAR payr. "Restart-Schecknummer aus PAYR
003070 ENDIF.
003080
003090 IF t042z-formi IS INITIAL. "alte Zahlungsträger (nur Scheck)
003100 SUBMIT (t042z-progn) WITH zw_laufd = reguh-laufd
003110 WITH zw_laufi = reguh-laufi
003120 WITH zw_zbukr = reguh-zbukr
003130 WITH zw_xvorl = space
003140 WITH sel_zawe = i_opayf-rzawe
003150 WITH par_zdru = 'X'
003160 WITH par_priz = i_opayf-ppriz
003170 WITH par_zfor = i_opayf-pzfor
003180 WITH par_avis = i_opayf-pavis
003190 WITH par_pria = i_opayf-ppria
003200 WITH par_stap = i_opayf-pstap
003210 WITH par_rchk = payr-chect
003220 WITH par_begl = space
003230 WITH sel_hbki = reguh-hbkid
003240 WITH sel_hkti = reguh-hktid
003250 WITH par_anzp = par_anzp
003260 WITH par_fill = i_opayf-pfill
003270 WITH par_espr = i_opayf-pespr
003280 WITH par_isoc = i_opayf-pisoc
003290 WITH par_sofo = i_opayf-psofo
003300 WITH par_novo = i_opayf-xnovo
003310 AND RETURN.
ELSE. "neue Zahlungsträger (z.Zt. nur OFX)
003330 CALL FUNCTION 'PAYMENT_MEDIUM_ONLINE'
003340 EXPORTING
003350 im_formi = t042z-formi
003360 im_reguh = reguh
003370 im_opayf = i_opayf
003380 TABLES
003390 tb_regup = xregup.
003400 ENDIF.
003410
003420 ENDFUNCTION.
Contents of system fields
SY field contents..................... SY field contents.....................
SY-SUBRC 4 SY-INDEX 0
SY-TABIX 1 SY-DBCNT 1
SY-FDPOS 0 SY-LSIND 0
SY-PAGNO 0 SY-LINNO 1
SY-COLNO 1 SY-PFKEY UAN
SY-UCOMM BU
SY-TITLE Payment with Printout: Display Overview
SY-MSGTY I SY-MSGID F5
SY-MSGNO 312 SY-MSGV1 1500000011
SY-MSGV2 KOPK SY-MSGV3
SY-MSGV4
Active calls / events
No.... Type........ Name..........................
Program
Include Line
Class
4 FUNCTION PAYMENT_FORM_PRINT
SAPLF028
LF028U06 332
3 FORM FCODE_BEARBEITUNG
SAPMF05A
MF05AFF0_FCODE_BEARBEITUNG 2333
2 FORM FUSSZEILE_VERARBEITEN
SAPMF05A
MF05AFF0_FUSSZEILE_VERARBEITEN 148
1 MODULE (PAI) FUSSZEILE_BEARBEITEN
SAPMF05A
MF05AI00_FUSSZEILE_BEARBEITEN 46
Chosen variables
4 FUNCTION PAYMENT_FORM_PRINT
SAPLF028
LF028U06 332
I_CC_CURR PKR
54522
0B200
I_OPAYF KOPKLOCL 0002 XCCIT
4454444422222222222222222222233332254445
BF0BCF3C00000000000000000000000020083394
... + 40 IH X 0001000005
4422522222222222333333333322222222222222
9800800000000000000100000500000000000000
... + 80
2222222222222222222222222222222222222222
0000000000000000000000000000000000000000
... + 120 00000000000000
2222222222222222222222233333333333333
0000000000000000000000000000000000000
I_REPRI
2
0
I_VBLNR 1500000011
3333333333
1500000011
I_WWERT 20070604
33333333
20070604
REGUH-LAUFI 00001*
333332
00001A
<%_TABLE_LFA1> ???
REGUH-ZBUKR KOPK
4454
BF0B
I_OPAYF-RZAWE C
4
3
I_OPAYF-PPRIZ LOCL
4444
CF3C
I_OPAYF-PZFOR
2222222222222222
0000000000000000
I_OPAYF-PAVIS
2
0
I_OPAYF-PPRIA
2222
0000
I_OPAYF-PSTAP 0002
3333
0002
PAYR-CHECT
2222222222222
0000000000000
REGUH-HBKID CITIH
44544
39498
REGUH-HKTID CTOLH
45444
34FC8
PAR_ANZP 0
3
0
I_OPAYF-PFILL
2
0
I_OPAYF-PESPR
2
0
I_OPAYF-PISOC
2
0
I_OPAYF-PSOFO X
5
8
I_OPAYF-XNOVO
2
0
%_PRINT 000
2222333222222222222222222222222222222222
0000000000000000000000000000000000000000
... + 40
2222222222222222222222222222222222222222
0000000000000000000000000000000000000000
... + 80 0 ########
2222222222320000000022222222222222222222
0000000000000000000000000000000000000000
... + 120
2222222222222222222222222222222222222222
0000000000000000000000000000000000000000
... + 160 0 ####
222222222222223222222222222222220000
000000000000000000000000000000000000
KNBK-KOINH
2222222222222222222222222222222222222222
0000000000000000000000000000000000000000
... + 40
22222222222222222222
00000000000000000000
T042Z-FORMI
222222222222222222222222222222
000000000000000000000000000000
<%_TABLE_T012> ???
REGUH 2007060400001* KOPK0001000005
2223333333333333224454333333333322222222
0002007060400001A0BF0B000100000500000000
... + 40 1500000011 PKR LHP1Co
2222222222222222223333333333254522445346
000000000000000000150000001100B200C8013F
... + 80 mpany Supreme Gas Ind. Pvt. Ltd
6766722222222577766624672466225772247622
D01E90000000035025D5071309E4E0064E0C4400
... + 120
2222222222222222222222222222222222222222
0000000000000000000000000000000000000000
... + 160
2222222222222222222222222222222222222222
0000000000000000000000000000000000000000
... + 200
2222222222222222222222222222222222222222
0000000000000000000000000000000000000000
... + 240 Lahore
222466676222222
000C18F25000000
SYST-REPID SAPLF028
5454433322222222222222222222222222222222
310C602800000000000000000000000000000000
T042I-HBKID CITIH
44544
39498
XREGUP[] Table IT_1065[1x1184]
3 FORM FCODE_BEARBEITUNG
SAPMF05A
MF05AFF0_FCODE_BEARBEITUNG 2333
%_SPACE
2
0
RC 0
0000
0000
SYST-REPID SAPMF05A
5454433422222222222222222222222222222222
310D605100000000000000000000000000000000
SY-REPID SAPMF05A
5454433422222222222222222222222222222222
310D605100000000000000000000000000000000
VORSCHL_GRIRG
222
000
XBKPF-BELNR 1500000011
3333333333
1500000011
%_DUMMY$$
2222
0000
VAKTAB
222222222222222222222222222222
000000000000000000000000000000
XBKPF-BUKRS KOPK
4454
BF0B
VORSCHL_GITYP
22
00
XBKPF-GJAHR 2007
3333
2007
C_INFO_LINK 100
333
100
BKPF 210KOPK15000000112007KZ20070604200706040
3334454333333333333334533333333333333333
210BF0B15000000112007BA20070604200706040
... + 40 620070604161846000000000000000020070604A
3333333333333333333333333333333333333334
6200706041618460000000000000000200706041
... + 80 GHAZNAVI FBZ4
4445445422244532222222222222222222222222
781AE16900062A40000000000000000000000000
... + 120 12345
2222222333332222222222222222222222222222
0000000123450000000000000000000000000000
... + 160 0000 PKR ###
2223333222222222222222222222222254522000
000000000000000000000000000000000B200000
... + 200 ## ##### ####### RFBU
0022222000002200000002544522222222222222
0C000000000C00000000C0262500000000000000
... + 240
222222222222222
000000000000000
BSEG 210KOPK15000000112007002 000000000000000
3334454333333333333333332333333333333333
210BF0B150000001120070020000000000000000
... + 40 0 25K SLHP1 ##########
3222222222233422254453222222220001000000
0000000000025B0003C80100000000000000C000
... + 80 ##################PKR #################
1000000000000010005452200000000000000000
000C000000C000000C0B200000000C000000C000
... + 120 #######################################
0000000000000000000000000000000000000002
000C000000C000000C000000C000000C000000C0
... + 160 000 ###############################
2223332220000000000000000000000000000000
000000000000000C0000C000000C000000C00000
... + 200 ##0000000020070427
0033333333333333332222222222222222222222
0C00000000200704270000000000000000000000
... + 240
222222222222222
000000000000000
SY-SUBRC 4
0000
4000
%_ARCHIVE
2222222222222222222222222222222222222222
0000000000000000000000000000000000000000
... + 40
2222222222222222222222222222222222222222
0000000000000000000000000000000000000000
... + 80
2222222222222222222222222222222222222222
0000000000000000000000000000000000000000
... + 120
2222222222222222222222222222222222222222
0000000000000000000000000000000000000000
... + 160
2222222222222222222222222222222222222222
0000000000000000000000000000000000000000
... + 200
2222222222222222222222222222222222222222
0000000000000000000000000000000000000000
... + 240
222222222222222
000000000000000
SAPOS-GITYP
22
00
T001-WAERS PKR
54522
0B200
SAPOS-GRICD
22
00
OPAYF KOPKLOCL 0002 XCCIT
4454444422222222222222222222233332254445
BF0BCF3C00000000000000000000000020083394
... + 40 IH X 0001000005
4422522222222222333333333322222222222222
9800800000000000000100000500000000000000
... + 80
2222222222222222222222222222222222222222
0000000000000000000000000000000000000000
... + 120 00000000000000
2222222222222222222222233333333333333
0000000000000000000000000000000000000
SAPOS-GRIRG
222
000
RF05A-KOATX
222222222222
000000000000
BKPF-WWERT 20070604
33333333
20070604
SY-XFORM CONVERSION_EXIT
444545544454545222222222222222
3FE65239FEF5894000000000000000
SY-MSGID F5
43222222222222222222
65000000000000000000
ANL_HKONT
2222222222
0000000000
T001W
2222222222222222222222222222222222222222
0000000000000000000000000000000000000000
... + 40
2222222222222222222222222222222222222222
0000000000000000000000000000000000000000
... + 80
2222222222222222222222222222222222222222
0000000000000000000000000000000000000000
... + 120
2222222222222222222222222222222222222222
0000000000000000000000000000000000000000
... + 160
2222222222222222222222222222222222222222
0000000000000000000000000000000000000000
... + 200
2222222222222222222222222222222222222222
0000000000000000000000000000000000000000
... + 240 #
222222222222220
000000000000000
SPACE
2
0
SY-MSGNO 312
333Specification of form is missing in pmnt method C for comp.code KOPK
In the include program RFFORI01 the query "SELECT * FROM t042z WHERE land1 EQ t001-land1 AND zlsch IN sel_zawe AND progn EQ sy-repid" is returning a null value for progn. This null value is passed to "003100 SUBMIT (t042z-progn) WITH zw_laufd = reguh-laufd" (Refer to the short dump).
Refer to IMG for adding specification of form.
Regards,
Khalid Mustafa
Development Consultant Netweaver-ABAP -
* is coming while priniting smartform of multiple pages for a customer
Hi Experts,
I m priniting the smartform for the Customer statement and i m using SFSY-PAGE and SFSY-FORMPAGES for the page number and for total number for pages. There am facing the problem of * in SFSY-FORMPAGES..
If the total no of pages is single digit like 8 or 7 it is printing page 1 of 8 etc, but if it is double digit in the sense like 11, it is printing Page 1 of * Page 2 of * and Page 10 of 11.... I have used the Z and C in the variables in Smartform...
Please help me to solve thisHi,
Refer Question Why SFSY-FORMPAGES is output as a star "" instead of the total number of pages?* from the below link
http://wiki.sdn.sap.com/wiki/display/ABAP/SmartFormsFAQ#SmartFormsFAQ-WhySFSYFORMPAGESisoutputasastar%22%22insteadofthetotalnumberofpages%3F
Thanks,
Pawan -
Fix Cheque position in RTF Templates for AP Payments R12
Hi,
I created rtf template for check printing. I have to print invoices details first and after that check at the bottom of the page. I need to print invoices on the cheque page only when total invoice count < = 3 which I am able to control. I am facing issue when for 3 invoices the table height is variable, depends on invoice description this table size is changing. How I can give the fixed-height for invoice table or how I can specify exact place for check (at the bottom of each page )
Thanks
MitalHi Prakhar,
Please note the cheque is not an image its in a table.
Even if I fix a table using table positioning in the output it doesnot print at the fixed position which I have provided in my RTF.
Please let me know if you would want to see the sample XML Data and RTF that I have created which can be easier to debug.
Thanks for your help,
Mital -
Cheque printing error Restart number is not in the check file
Dear Sap friends,
I need to print the cheque using the standard program FBZ5. Since the client requires to change the description of vendor i am using FCH5 and manually creating the cheque for the payment document number.
After the cheque no is attached to this document number i go to FBZ5 and am entering this docuemnt number for printing the cheque.
Initially i am getting the error
You cannot print the manually created check AX002 AX002 500000
Message no. FS675.
This i have resovled by changing the message from error to warning.
Later when i press enter i am getting the following error.
Restart number is not in the check file or is not a From-number
Message no. FS562
How to i resolve this.
Please help.
SatishExactly,
If you really need such kind of facility, ask your ABAPER to develop a small report like below
Selection criteria
Document number - BELNR
Conmpany code - BUKRS
Fiscal year - GJAHR
Output criteria
Vendor name
Amount
Date
Form has to develop for Check prinitng
Thanks -
Rolling back of Quick Pay Pre-payment and Quick Pay in case of void cheque
Hi All
I am facing an issue if you can help me out of if
Here is a scenario
a payroll manager runs the following processes.
1. Payroll run
2. Pre-Payments
3. Payroll Archiver
4. Payment Output file
After running all these process payroll manager finds that he also has to make an adhoc payment on account of car loan of AED 150,000.
So he runs following processes
1. Quick pay for Car loan
2. Quick pay pre-payments (payment made through check)
3. payroll archiver
4. Cheque Writer.
Now due to some technical fault, alignment on printing of cheque becomes disturbed there for cheque misprinted.
Payroll manager runs Void Cheque process to cancel the cheque.
After all these processes which has run successfully, order comes from upper management to rollback quickpay for adhoc payment of loan.
Now question is how it can be achieved.
I tried different things as follows
On Assignment Process results screen i queried the assignment which all the processes in descending order.
I tried to start roll back from cheque writer but system didn't allowed to do this because of check Void process.
I tried to start rollback from Magnetic report, system allowed to roll it back.
Then i tried to rollback Quick-pay prepayment, system did not allow me be do it. There fore i couldn't run rollback for Quick-pay.
There is an another thing i tried.
On "Assignment Process Result" screen i queried assignment. Then i delete the first entry of Void cheque by using delete option from menu bar on top and saved the record. then i delete cheque writer entry and saved the record. Then i run rollback for quick pay pre-payments and ran it successfully and then lastly i ran rollback for quick pay run.
One thing cautioned me that if I delete the void cheque entry then its history may be lost or have lost and on the other hand with out deleting void cheque i cannot proceed to rollback quick pay.
Kindly tell me the best way to run rollback for quick pay in this situation.
Regards
MajidBt do not provide broadband only so you need existing account holder to add broadband to phone account and then you can pay back the account holder - probably not what you want
the 12 months advance applies to the line rental not the broadband - as I said BT do not sell broadband only you buy a package which includes phone
If you like a post, or want to say thanks for a helpful answer, please click on the Ratings star on the left-hand side of the post.
If someone answers your question correctly please let other members know by clicking on ’Mark as Accepted Solution’. -
Hi All,
Can anybody help me out to do the AP cheque printing report using XML Publisher.
Followings are the steps I did.
1. Create rdf and register in APPS.
Executable is defined in Customization AP application
Concurrent Program is in Payables application.
2. Create Data Definition and Template in XML Publisher administrator in Payables.
3. Attached the Concurrent program in AP Format set up.
4. Make the Payment, The report is calling and showing completed normal but the output is not coming.
5. Then I run the XML report Publisher and pass the request id then the output is coming as PDF.
But the requirement is when we make the payment , The output should come and it will go to the printer for printing..
Please help me where I made the mistake.
or please guide me what approach I should follow.
Thanks in Advance.
PradiptaHere is my code:
function AfterReport return boolean is
vrequest_id number;
v_success BOOLEAN;
v_printer fnd_concurrent_requests.printer%TYPE;
v_print_style fnd_concurrent_requests.print_style%TYPE;
begin
-- Set up printer for the following reports
-- Get the printer and style for this report for use with the following reports select printer, print_style
into v_printer, v_print_style
from fnd_concurrent_requests
where request_id = :P_CONC_REQUEST_ID;
srw.message(999, 'Print options: ' || v_printer || '/' || v_print_style);
v_success := fnd_request.set_print_options (v_printer
,v_print_style
,1
,TRUE
,'N'
,'SKIP'); IF NOT v_success THEN
srw.message(999, 'Failure to set print options'); ELSE
srw.message(999, 'Print options set'); end if;
-- Submit the XML Report Publisher request to complete the printed Dunning Letters
vrequest_id := FND_REQUEST.SUBMIT_REQUEST('XDO',
'XDOREPPB',
NULL,
NULL,
FALSE,
:P_CONC_REQUEST_ID,
222, -- Receivables
'XX_ARDLPPRT_RPT',
'en', 'N', 'RTF', 'PDF', NULL, NULL, NULL,
NULL, NULL, NULL, NULL, NULL, NULL, NULL, NULL, NULL, NULL,
NULL, NULL, NULL, NULL, NULL, NULL, NULL, NULL, NULL, NULL,
NULL, NULL, NULL, NULL, NULL, NULL, NULL, NULL, NULL, NULL,
NULL, NULL, NULL, NULL, NULL, NULL, NULL, NULL, NULL, NULL,
NULL, NULL, NULL, NULL, NULL, NULL, NULL, NULL, NULL, NULL,
NULL, NULL, NULL, NULL, NULL, NULL, NULL, NULL, NULL, NULL,
NULL, NULL, NULL, NULL, NULL, NULL, NULL, NULL, NULL, NULL,
NULL, NULL, NULL, NULL, NULL, NULL, NULL, NULL, NULL, NULL,
NULL, NULL, NULL, NULL, NULL, NULL, NULL, NULL, NULL, NULL);
-- commit to submit request
commit;
IF vrequest_id = 0 THEN -- if request id
srw.message(999, 'Failure to submit Concurrent Request to Print Dunning Letters');
ELSE
srw.message(999, 'request id ' || to_char(vrequest_id) || ' submitted');
end if;
-- Original Afterreport trigger stuff
SRW.DO_SQL('alter session set sql_trace false');
return (TRUE);
end; -
Vendor Payment-Cheque Assignment Issue
Hi,
I am facing one of the issue related to vendor payment. Issue description is as below.
1. We do have weekly payment parameter creation (F110) and one of the parameter was created on Wednesday.
2. Another job use to run for that parameter (where vendor name is mention) and creates payment document for open item for mention vendor (clearing document)
3. Then cheque will gets assign to all those payment documents created in step 2 using program RFFOUS_C.
4. There are total 616 documents selected by program RFFOUS_C but out of which this program assign cheques only for 590 documents and remaining 26 payment documents kept as it is and no cheques were assign and not even consider in cheque file too.
5. I am confuse why system not consider these 26 documents were I didnu2019t see any difference in document and all documents were having same payment method too.
Can someone advise me where could be the problem?
Thanks
ParagNo. If you see my original issue i mention in that all the documents clear successfully. Only 26 clearing document dont have cheques assing and thats why vendor payment is hanging. Say for example if you go in FB03 and put your clearing document and once inside that document click on environment menu where CHEQUE INFORMATION is option. If Cheque number will be assign to that particular document then system will immidiately show you cheque details. In my case no cheque is assing by program RFFOUC_C. So why is it so?
Parag -
Vendor Payment Issue - Cheque Assignment
Hi,
I am facing one of the issue related to vendor payment. Issue description is as below.
1. We do have weekly payment parameter creation (F110) and one of the parameter was created on Wednesday.
2. Another job use to run for that parameter (where vendor name is mention) and creates payment document for open item for mention vendor (clearing document)
3. Then cheque will gets assign to all those payment documents created in step 2 using program RFFOUS_C.
4. There are total 616 documents selected by program RFFOUS_C but out of which this program assign cheques only for 590 documents and remaining 26 payment documents kept as it is and no cheques were assign and not even consider in cheque file too.
5. I am confuse why system not consider these 26 documents were I didnu2019t see any difference in document and all documents were having same payment method too.
Can someone advise me where could be the problem?
Thanks
ParagNo. If you see my original issue i mention in that all the documents clear successfully. Only 26 clearing document dont have cheques assing and thats why vendor payment is hanging. Say for example if you go in FB03 and put your clearing document and once inside that document click on environment menu where CHEQUE INFORMATION is option. If Cheque number will be assign to that particular document then system will immidiately show you cheque details. In my case no cheque is assing by program RFFOUC_C. So why is it so?
Parag -
Vendor Payment - Cheque Assignment
Hi,
I am facing one of the issue related to vendor payment. Issue description is as below.
1. We do have weekly payment parameter creation (F110) and one of the parameter was created on Wednesday.
2. Another job use to run for that parameter (where vendor name is mention) and creates payment document for open item for mention vendor (clearing document)
3. Then cheque will gets assign to all those payment documents created in step 2 using program RFFOUS_C.
4. There are total 616 documents selected by program RFFOUS_C but out of which this program assign cheques only for 590 documents and remaining 26 payment documents kept as it is and no cheques were assign and not even consider in cheque file too.
5. I am confuse why system not consider these 26 documents were I didnu2019t see any difference in document and all documents were having same payment method too. Also these documents is not block for payment that's why clearing document generated.
Can someone advise me where could be the problem?
Thanks
ParagDear Parag,
1. First you can check available amounts in your Bank accounts
2. Verify your Cheques list (Cheque leafes & lots).
Best Regards
shankarsap -
Cheque printed but fi document not created (line item shows as open item)
Hi,
Problem Description :
F110
In payment run Posting order is not matching it shows 11 generated and 10 completed .
Due to this, document number 5100316279( i.e open item) was not cleared but generated a cheque 809635 for 58.75
The same document number 5100316279got cleared on 01.07.2008 ; payment run and generated another cheque 809643 for same amount 58.75
To summarize due to a system error we ended in a double payment to the vendor.
Request you help us to solve this issue.
Thanks.Hi,
The reason why you have more documents generated than completed is that update terminations on the executing the payment run.It means some documents were not posted in the data base. You could find the terminated update via using SM13.
Here is some information saying what you have to do when this happens:
You need to analyse the update record data to decide what has to be done with the update records. In order to analyse the record data, use transaction SM13 for terminated updates. By double-clicking on the terminated update records, the updates modules are displayed. By double-clicking on the function module 'POST_DOCUMENT' with error status you can see in whick line item the clearing has failed. Please use
'Goto => Display data'. In table T_BKPF and T_BSEG are the data of the entered document. Important are CPU-Date (T_BKPF-CPUDT) and Time (T_BKPF-CPUTM). In table T_AUSZ1 is the the information which line item
(BELNR, BUKRS, GJAHR, BUZEI) should be cleared with this update record.
Afterwards, execute FB03 for this document and determine the clearing document BSEG-AUGBL for this line item. Analysing this clearing document with data of the terminated update records you have to decide what has to be done with this update record.
For repeating the update task it is necessary that the clearing of the Open item is reset with transaction FBRA. Without resetting the other Clearing you will always get error F1 805 in the function module 'POST_DOCUMENT'.
So can you please analyse the data concerning the update termination. Depending on the investigation, you have to decide, whether the data has to be re-entered or whether the update task can be deleted or whether the clearing has to be reset and the task has to be repeated.
With regards,
V.Krishnamoorthy
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