Customer Aging - Column order

Hi
A user had 2 separate windows open for Customer Receivables Aging. She used a filter option on the one window which resulted in the column order in window 2 to become mixed up.
Now when you run the aging report it looks like this-
0-30, Future remittance, Customer Name, 120+, 31-60, 61-90, 91-120, Interest, Customer Code.......
The 'Form Settings' icon is greyed out for this window. Is there a way to reset this?
(Welcome to the wonderful world of SAP Business One users).
Regards

Hi,
Whenever a user opens Aging Report two instances, then the columns of the other instance always display incorrectly.
It seems that the system behavior.
PS :  Peter, please post a new thread for your query if it is unresolved as sometimes others cannot determine you asked a question or not (as this thread is closed).
If your user is facing this issue on a single instance then you need to log a SAP Support ticket to get it investigated.
Regards,
Jitin
SAP Business One Forum Team

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    LINE-SIZE 132
    LINE-COUNT 65.
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    bsak, "cleared items (A/c Secnd Index for Cust(Clrms))
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    DATA: fieldcat TYPE slis_t_fieldcat_alv,
    fieldcat1 TYPE slis_t_fieldcat_alv,
    fieldcat_ln TYPE slis_fieldcat_alv,
    layout_in TYPE slis_layout_alv,
    layout_in1 TYPE slis_layout_alv,
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    eventcat1 TYPE slis_t_event,
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    targ_mth_abs TYPE p, "0001
    doc_month(2) TYPE n, "0001
    doc_year(4) TYPE n, "0001
    doc_mth_abs TYPE p, "0001
    mth_result TYPE p, "0001
    doc_days TYPE p,
    targ_days TYPE p,
    addl_days TYPE p,
    ext_days TYPE p,
    v_days(3) TYPE c,
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    xblnr LIKE bsik-xblnr,
    blart LIKE bsik-blart,
    sgtxt LIKE bsik-sgtxt,
    shkzg LIKE bsik-shkzg,
    dmbtr LIKE bsik-dmbtr,
    zfbdt LIKE bsik-zfbdt,
    zbd1t LIKE bsik-zbd1t,
    zbd2t LIKE bsik-zbd2t,
    zbd3t LIKE bsik-zbd3t,
    zuonr LIKE bsik-zuonr,
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    DATA:
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    sgtxt LIKE bsik-sgtxt,
    shkzg LIKE bsik-shkzg,
    dmbtr LIKE bsik-dmbtr,
    zfbdt LIKE bsik-zfbdt,
    zbd1t LIKE bsik-zbd1t,
    zbd2t LIKE bsik-zbd2t,
    zbd3t LIKE bsik-zbd3t,
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    belnr LIKE bsik-belnr,
    gjahr LIKE bsik-gjahr,
    bldat LIKE bsik-bldat,
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    blart LIKE bsik-blart,
    sgtxt LIKE bsik-sgtxt,
    zfbdt LIKE bsik-zfbdt,
    dmbtr LIKE bsik-dmbtr,
    days(3) TYPE c,
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    total LIKE bsik-dmbtr,
    zfuture LIKE bsik-dmbtr,
    zcurrent LIKE bsik-dmbtr,
    crbal LIKE bsik-dmbtr,
    30days LIKE bsik-dmbtr,
    60days LIKE bsik-dmbtr,
    90days LIKE bsik-dmbtr,
    99days LIKE bsik-dmbtr,
    120days LIKE bsik-dmbtr,
    180days LIKE bsik-dmbtr,
    365days LIKE bsik-dmbtr,
    bzirk LIKE knvv-bzirk,
    vkbur LIKE knvv-vkbur,
    vwerk LIKE knvv-vwerk,
    vkgrp LIKE knvv-vkgrp,
    klimk LIKE knkk-klimk,
    cashd LIKE knkk-cashd,
    grupp LIKE knkk-grupp,
    erdat LIKE lfa1-erdat,
    name1 LIKE lfa1-name1,
    name2 LIKE lfa1-name2,
    stras LIKE lfa1-stras,
    ort01 LIKE lfa1-ort01,
    telf1 LIKE lfa1-telf1,
    psort(10),
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    txt50 LIKE skat-txt50,
    gsber LIKE bsik-gsber,
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    p_debit(1) TYPE c,
    p_credit(1) TYPE c.
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    s_kkber FOR knkk-kkber NO-DISPLAY ,
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    s_gsber FOR bsik-gsber.
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    <-- p2 text
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    itab-vkbur = 'SF25'.
    WHEN 'QLD1'.
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    WHEN 'WA1'.
    itab-vkbur = 'SF26'.
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    itab-vkgrp IN s_vkgrp AND
    knvv-konda IN s_konda AND
    knvv-kdgrp IN s_kdgrp AND
    itab-bzirk IN s_bzirk AND
    knvv-kvgr2 IN s_kvgr2.
    ELSE.
    DELETE itab.
    CONTINUE.
    ENDIF.
    SELECT SINGLE klimk grupp cashd
    INTO (itab-klimk, itab-grupp, itab-cashd)
    FROM knkk WHERE lifnr = itab-lifnr
    AND kkber IN s_kkber
    AND ctlpc IN s_ctlpc
    AND grupp IN s_grupp.
    IF SY-SUBRC NE 0.
    DELETE ITAB.
    CONTINUE.
    ENDIF.
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    INTO (itab-txt50)
    FROM lfb1 INNER JOIN skat
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    WHERE lfb1~lifnr = itab-lifnr
    AND lfb1~akont IN s_akont
    AND skat~spras EQ 'EN'.
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    DELETE itab.
    CONTINUE.
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    WHERE lifnr = itab-lifnr
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    CONTINUE.
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    CONTINUE.
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    text
    --> p1 text
    <-- p2 text
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    select open items.
    IF p_due EQ 'X'.
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    zuonr
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    AND budat LE stida
    AND lifnr IN s_lifnr
    AND gsber IN s_gsber
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    AND umskz NE 'F'
    AND umskz NE 'R'
    AND umskz NE 'P'
    AND umskz NE 'J'
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    years = 00
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    inrec-zbd2t = inrect-zbd2t.
    inrec-zbd3t = inrect-zbd3t.
    inrec-zuonr = inrect-zuonr.
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    CLEAR inrec.
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    zuonr
    FROM bsik INTO TABLE inrec
    WHERE bukrs = p_bukrs
    AND budat LE stida
    AND lifnr IN s_lifnr
    AND gsber IN s_gsber
    AND umskz NE 'T'
    AND umskz NE 'F'
    AND umskz NE 'R'
    AND umskz NE 'P'
    AND umskz NE 'J'
    AND umskz NE 'L'.
    ENDIF.
    SORT inrec BY lifnr shkzg zfbdt .
    LOOP AT inrec.
    AT NEW lifnr.
    For Customers Credit Balance Transaction to be display in Report
    End of Credit Balance
    ztotcre = 0.
    ztotsal = 0.
    ENDAT.
    IF inrec-shkzg = 'H'.
    inrec-dmbtr = inrec-dmbtr * -1.
    ztotcre = ztotcre + inrec-dmbtr.
    ELSE.
    IF inrec-blart = 'RV'.
    IF inrec-bldat GE fsdate.
    ztotsal = ztotsal + inrec-dmbtr.
    ENDIF.
    ENDIF.
    ztotcre = ztotcre + inrec-dmbtr.
    endif.
    IF p_debit EQ 'X'.
    IF ztotcre > 0.
    MOVE-CORRESPONDING inrec TO t_item. " 0001
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    inrec-zfbdt inrec-zbd1t
    inrec-zbd2t inrec-zbd3t
    ztotsal.
    APPEND t_item.
    CLEAR t_item.
    ztotcre = 0.
    ztotsal = 0.
    ENDIF.
    ENDIF.
    ENDIF.
    IF p_credit EQ 'X'.
    AT END OF lifnr.
    IF ztotcre < 0.
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    PERFORM collect_invoice USING inrec-lifnr ztotcre
    inrec-zfbdt inrec-zbd1t
    inrec-zbd2t inrec-zbd3t
    ztotsal.
    APPEND t_item.
    CLEAR t_item.
    ztotcre = 0.
    ztotsal = 0.
    APPEND t_item.
    CLEAR t_item.
    ENDIF.
    ENDAT.
    ENDIF.
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    select cleared items
    IF p_due EQ 'X'.
    REFRESH inrect. CLEAR inrect.
    SELECT lifnr belnr gjahr bldat xblnr blart sgtxt
    shkzg dmbtr zfbdt zbd1t zbd2t zbd3t
    zuonr
    FROM bsak INTO TABLE inrect
    WHERE bukrs = p_bukrs
    AND budat LE stida
    AND augdt > stida
    AND lifnr IN s_lifnr
    AND gsber IN s_gsber
    REFRESH inrec. CLEAR inrec.
    LOOP AT inrect.
    inrec-lifnr = inrect-lifnr.
    inrec-belnr = inrect-belnr.
    inrec-gjahr = inrect-gjahr.
    inrec-bldat = inrect-bldat.
    inrec-xblnr = inrect-xblnr.
    inrec-blart = inrect-blart.
    inrec-sgtxt = inrect-sgtxt.
    inrec-shkzg = inrect-shkzg.
    inrec-dmbtr = inrect-dmbtr.
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    days = inrect-zbd1t
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    years = 00
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    inrec-zbd2t = inrect-zbd2t.
    inrec-zbd3t = inrect-zbd3t.
    inrec-zuonr = inrect-zuonr.
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    inrec-zbd2t inrec-zbd3t
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    CLEAR t_item.
    ztotcre = 0.
    ztotsal = 0.
    ENDIF.
    ENDIF.
    ENDIF.
    IF p_credit EQ 'X'.
    AT END OF lifnr.
    IF ztotcre < 0.
    MOVE-CORRESPONDING inrec TO t_item. " 0001
    PERFORM collect_invoice USING inrec-lifnr ztotcre
    inrec-zfbdt inrec-zbd1t
    inrec-zbd2t inrec-zbd3t
    ztotsal.
    APPEND t_item.
    CLEAR t_item.
    ztotcre = 0.
    ztotsal = 0.
    APPEND t_item.
    CLEAR t_item.
    ENDIF.
    ENDAT. " 0001
    ENDIF.
    ENDLOOP.
    ENDFORM. " GET_CUSTOMER_INVOICES
    *& Form COLLECT_INVOICE
    text
    -->P_bsik_lifnr text
    -->P_bsik_DMBTR text
    -->P_bsik_ZFBDT text
    -->P_bsik_ZFBDT1 text
    -->P_bsik_ZFBDT2 text
    -->P_bsik_ZFBDT3 text
    FORM collect_invoice USING pp_lifnr
    pp_dmbtr
    pp_zfbdt
    pp_zbd1t
    pp_zbd2t
    pp_zbd3t
    pp_ztotsal.
    doc_month = pp_zfbdt+4(2).
    doc_year = pp_zfbdt+0(4).
    doc_mth_abs = ( doc_year * 12 ) + doc_month.
    mth_result = ( targ_mth_abs - doc_mth_abs ).
    logic given by Mr. Ashok Singhvi
    doc_days = pp_zfbdt+6(2).
    addl_days = ( doc_days - targ_days ).
    IF addl_days <= 0.
    ADD 1 TO mth_result.
    ENDIF.
    IF NOT pp_zbd3t IS INITIAL.
    MOVE pp_zbd3t TO ext_days.
    ELSEIF NOT pp_zbd2t IS INITIAL.
    MOVE pp_zbd2t TO ext_days.
    ELSEIF NOT pp_zbd1t IS INITIAL.
    MOVE pp_zbd1t TO ext_days.
    ELSE.
    CLEAR ext_days.
    ENDIF.
    CHECK with Andrew whether this is working or not
    if extended payment terms exist, subtract no of mths from mth_result
    IF NOT ext_days IS INITIAL.
    CASE ext_days.
    WHEN 30.
    SUBTRACT 1 FROM mth_result.
    WHEN 60.
    SUBTRACT 2 FROM mth_result.
    WHEN 90.
    SUBTRACT 3 FROM mth_result.
    WHEN 120.
    SUBTRACT 4 FROM mth_result.
    ENDCASE.
    ENDIF.
    change to key date
    IF pp_dmbtr > 0.
    IF p_future = 'X'. " 0001
    IF mth_result <= 0.
    itab-zcurrent = pp_dmbtr.
    t_item-days = 'CUR'.
    ELSEIF mth_result = 1.
    itab-30days = pp_dmbtr.
    t_item-days = '30D'.
    ELSEIF mth_result = 2.
    itab-60days = pp_dmbtr.
    t_item-days = '60D'.
    ELSEIF mth_result = 3.
    itab-90days = pp_dmbtr.
    t_item-days = '90D'.
    ELSEIF mth_result > 3 AND mth_result <= 4 .
    itab-99days = pp_dmbtr.
    t_item-days = '99D'.
    ELSEIF mth_result > 4 AND mth_result <= 6 .
    itab-120days = pp_dmbtr.
    t_item-days = '120D'.
    ELSEIF mth_result > 6 AND mth_result <= 12 .
    itab-180days = pp_dmbtr.
    t_item-days = '180D'.
    ELSEIF mth_result > 12 .
    itab-365days = pp_dmbtr.
    t_item-days = '365D'.
    ENDIF.
    ELSE.
    IF mth_result < 0.
    itab-zfuture = pp_dmbtr.
    t_item-days = 'FUT'.
    ELSEIF mth_result = 0.
    itab-zcurrent = pp_dmbtr.
    t_item-days = 'CUR'.
    ELSEIF mth_result = 1.
    itab-30days = pp_dmbtr.
    t_item-days = '30D'.
    ELSEIF mth_result = 2.
    itab-60days = pp_dmbtr.
    t_item-days = '60D'.
    ELSEIF mth_result = 3.
    itab-90days = pp_dmbtr.
    t_item-days = '90D'.
    ELSEIF mth_result > 3 AND mth_result <= 4 .
    itab-99days = pp_dmbtr.
    t_item-days = '99D'.
    ELSEIF mth_result > 4 AND mth_result <= 6 .
    itab-120days = pp_dmbtr.
    t_item-days = '120D'.
    ELSEIF mth_result > 6 AND mth_result <= 12 .
    itab-180days = pp_dmbtr.
    t_item-days = '180D'.
    ELSEIF mth_result > 12 .
    itab-365days = pp_dmbtr.
    t_item-days = '365D'.
    ENDIF.
    ENDIF. " 0001
    itab-crbal = 0.
    itab-total = pp_dmbtr.
    ELSE.
    IF p_future = 'X'. " 0001
    IF mth_result <= 0.
    itab-zcurrent = pp_dmbtr.
    t_item-days = 'CUR'.
    ELSEIF mth_result = 1.
    itab-30days = pp_dmbtr.
    t_item-days = '30D'.
    ELSEIF mth_result = 2.
    itab-60days = pp_dmbtr.
    t_item-days = '60D'.
    ELSEIF mth_result = 3.
    itab-90days = pp_dmbtr.
    t_item-days = '90D'.
    ELSEIF mth_result > 3 AND mth_result <= 4 .
    itab-99days = pp_dmbtr.
    t_item-days = '99D'.
    ELSEIF mth_result > 4 AND mth_result <= 6 .
    itab-120days = pp_dmbtr.
    t_item-days = '120D'.
    ELSEIF mth_result > 6 AND mth_result <= 12 .
    itab-180days = pp_dmbtr.
    t_item-days = '180D'.
    ELSEIF mth_result > 12 .
    itab-365days = pp_dmbtr.
    t_item-days = '365D'.
    ENDIF.
    ELSE.
    IF mth_result < 0.
    itab-zfuture = pp_dmbtr.
    t_item-days = 'FUT'.
    ELSEIF mth_result = 0.
    itab-zcurrent = pp_dmbtr.
    t_item-days = 'CUR'.
    ELSEIF mth_result = 1.
    itab-30days = pp_dmbtr.
    t_item-days = '30D'.
    ELSEIF mth_result = 2.
    itab-60days = pp_dmbtr.
    t_item-days = '60D'.
    ELSEIF mth_result = 3.
    itab-90days = pp_dmbtr.
    t_item-days = '90D'.
    ELSEIF mth_result > 3 AND mth_result <= 4 .
    itab-99days = pp_dmbtr.
    t_item-days = '99D'.
    ELSEIF mth_result > 4 AND mth_result <= 6 .
    itab-120days = pp_dmbtr.
    t_item-days = '120D'.
    ELSEIF mth_result > 6 AND mth_result <= 12 .
    itab-180days = pp_dmbtr.
    t_item-days = '180D'.
    ELSEIF mth_result > 12 .
    itab-365days = pp_dmbtr.
    t_item-days = '365D'.
    ENDIF.
    ENDIF. " 0001
    itab-total = pp_dmbtr.
    itab-crbal = 0.
    ENDIF.
    itab-lifnr = pp_lifnr.
    itab-totsal = pp_ztotsal.
    COLLECT itab.
    CLEAR itab.
    ENDFORM. " COLLECT_INVOICE
    *& Form ADD_SORT_FIELD
    text
    --> p1 text
    <-- p2 text
    FORM add_sort_field.
    DATA: l_amount(9) TYPE n.
    IF p_future = 'X'.
    LOOP AT itab.
    l_amount = 999999999.
    IF itab-365days > 0.
    l_amount = l_amount - itab-365days.
    CONCATENATE 'A' l_amount INTO itab-psort.
    ELSEIF itab-180days > 0.
    l_amount = l_amount - itab-180days.
    CONCATENATE 'B' l_amount INTO itab-psort.
    ELSEIF itab-120days > 0.
    l_amount = l_amount - itab-120days.
    CONCATENATE 'C' l_amount INTO itab-psort.
    ELSEIF itab-99days > 0.
    l_amount = l_amount - itab-99days.
    CONCATENATE 'D' l_amount INTO itab-psort.
    ELSEIF itab-90days > 0.
    l_amount = l_amount - itab-90days.
    CONCATENATE 'E' l_amount INTO itab-psort.
    ELSEIF itab-60days > 0.
    l_amount = l_amount - itab-60days.
    CONCATENATE 'F' l_amount INTO itab-psort.
    ELSEIF itab-30days > 0.
    l_amount = l_amount - itab-30days.
    CONCATENATE 'G' l_amount INTO itab-psort.
    ELSEIF itab-zcurrent > 0.
    l_amount = l_amount - itab-zcurrent.
    CONCATENATE 'H' l_amount INTO itab-psort.
    ELSEif itab-zfuture > 0.
    L_AMOUNT = L_AMOUNT - ITAB-zfuture.
    CONCATENATE 'F' L_AMOUNT INTO ITAB-PSORT.
    ELSE.
    l_amount = ABS( itab-total ).
    CONCATENATE 'I' l_amount INTO itab-psort.
    ENDIF.
    MODIFY itab.
    ENDLOOP.
    ELSE.
    LOOP AT itab.
    l_amount = 999999999.
    IF itab-365days > 0.
    l_amount = l_amount - itab-365days.
    CONCATENATE 'A' l_amount INTO itab-psort.
    ELSEIF itab-180days > 0.
    l_amount = l_amount - itab-180days.
    CONCATENATE 'B' l_amount INTO itab-psort.
    ELSEIF itab-120days > 0.
    l_amount = l_amount - itab-120days.
    CONCATENATE 'C' l_amount INTO itab-psort.
    ELSEIF itab-99days > 0.
    l_amount = l_amount - itab-99days.
    CONCATENATE 'D' l_amount INTO itab-psort.
    ELSEIF itab-90days > 0.
    l_amount = l_amount - itab-90days.
    CONCATENATE 'E' l_amount INTO itab-psort.
    ELSEIF itab-60days > 0.
    l_amount = l_amount - itab-60days.
    CONCATENATE 'F' l_amount INTO itab-psort.
    ELSEIF itab-30days > 0.
    l_amount = l_amount - itab-30days.
    CONCATENATE 'G' l_amount INTO itab-psort.
    ELSEIF itab-zcurrent > 0.
    l_amount = l_amount - itab-zcurrent.
    CONCATENATE 'H' l_amount INTO itab-psort.
    ELSEIF itab-zfuture > 0.
    l_amount = l_amount - itab-zfuture.
    CONCATENATE 'I' l_amount INTO itab-psort.
    ELSE.
    l_amount = ABS( itab-total ).
    CONCATENATE 'J' l_amount INTO itab-psort.
    ENDIF.
    MODIFY itab.
    ENDLOOP.
    ENDIF.
    ENDFORM. " ADD_SORT_FIELD
    *& Form WRITE_REPORT
    text
    --> p1 text
    <-- p2 text
    FORM write_report.
    PERFORM build_fieldcat.
    PERFORM build_sortcat.
    PERFORM build_eventcat.
    PERFORM build_layout.
    PERFORM start_list_viewer.
    ENDFORM. " WRITE_REPORT
    *& Form BUILD_FIELDCAT
    text
    --> p1 text
    <-- p2 text
    FORM build_fieldcat.
    lifnr
    ADD 1 TO col_pos.
    CLEAR fieldcat_ln.
    fieldcat_ln-ref_tabname = 'lfa1'.
    fieldcat_ln-fieldname = 'LIFNR'.
    fieldcat_ln-col_pos = col_pos.
    fieldcat_ln-hotspot = 'X'.
    fieldcat_ln-emphasize = 'C41'.
    APPEND fieldcat_ln TO fieldcat.
    Name1
    ADD 1 TO col_pos.
    CLEAR fieldcat_ln.
    fieldcat_ln-ref_tabname = 'lfa1'.
    fieldcat_ln-fieldname = 'NAME1'.
    fieldcat_ln-emphasize = 'C41'.
    fieldcat_ln-col_pos = col_pos.
    fieldcat_ln-seltext_l = 'Name'.
    APPEND fieldcat_ln TO fieldcat.
    City Details
    ADD 1 TO col_pos.
    CLEAR fieldcat_ln.
    fieldcat_ln-ref_tabname = 'lfa1'.
    fieldcat_ln-fieldname = 'ORT01'.
    fieldcat_ln-seltext_l = 'City'.
    fieldcat_ln-col_pos = col_pos.
    APPEND fieldcat_ln TO fieldcat.
    Credit Limit
    ADD 1 TO col_pos.
    CLEAR fieldcat_ln.
    fieldcat_ln-ref_tabname = 'KNKK'.
    fieldcat_ln-fieldname = 'KLIMK'.
    fieldcat_ln-col_pos = col_pos.
    fieldcat_ln-emphasize = 'C41'.
    APPEND fieldcat_ln TO fieldcat.
    ADD 1 TO col_pos.
    CLEAR fieldcat_ln.
    fieldcat_ln-ref_tabname = 'bsik'.
    fieldcat_ln-ref_fieldname = 'DMBTR'.
    fieldcat_ln-fieldname = 'CRBAL'.
    fieldcat_ln-col_pos = col_pos.
    fieldcat_ln-emphasize = 'C41'.
    fieldcat_ln-do_sum = 'X'.
    fieldcat_ln-seltext_l = 'Cr. Bal.'.
    fieldcat_ln-seltext_m = 'Cr. Bal.'.
    fieldcat_ln-seltext_s = 'Cr. Bal.'.
    APPEND fieldcat_ln TO fieldcat.
    Total Amount
    ADD 1 TO col_pos.
    CLEAR fieldcat_ln.
    fieldcat_ln-fieldname = 'TOTAL'.
    fieldcat_ln-col_pos = col_pos.
    fieldcat_ln-emphasize = 'C41'.
    fieldcat_ln-do_sum = 'X'.
    fieldcat_ln-hotspot = 'X'.
    fieldcat_ln-seltext_l = 'Out.St.Amt.'.
    fieldcat_ln-seltext_m = 'Out.St.Amt.'.
    fieldcat_ln-seltext_s = 'Out.St.Amt.'.
    fieldcat_ln-ref_tabname = 'zbsik'.
    fieldcat_ln-ref_fieldname = 'ZDMBTR'.
    APPEND fieldcat_ln TO fieldcat.
    IF p_future NE 'X'.
    Future
    ADD 1 TO col_pos.
    CLEAR fieldcat_ln.
    fieldcat_ln-ref_tabname = 'bsik'.
    fieldcat_ln-ref_fieldname = 'DMBTR'.
    fieldcat_ln-fieldname = 'ZFUTURE'.
    fieldcat_ln-col_pos = col_pos.
    fieldcat_ln-do_sum = 'X'.
    fieldcat_ln-hotspot = 'X'.
    fieldcat_ln-emphasize = 'C41'.
    fieldcat_ln-seltext_l = 'Future Due'.
    fieldcat_ln-seltext_m = 'Future Due'.
    fieldcat_ln-seltext_s = 'Future Due'.
    APPEND fieldcat_ln TO fieldcat.
    ENDIF.
    Current
    ADD 1 TO col_pos.
    CLEAR fieldcat_ln.
    fieldcat_ln-ref_tabname = 'bsik'.
    fieldcat_ln-ref_fieldname = 'DMBTR'.
    fieldcat_ln-fieldname = 'ZCURRENT'.
    fieldcat_ln-col_pos = col_pos.
    fieldcat_ln-do_sum = 'X'.
    fieldcat_ln-hotspot = 'X'.
    fieldcat_ln-emphasize = 'C41'.
    fieldcat_ln-seltext_l = 'Normal Due'.
    fieldcat_ln-seltext_m = 'Normal Due'.
    fieldcat_ln-seltext_s = 'Normal Due'.
    APPEND fieldcat_ln TO fieldcat.
    30 Days
    ADD 1 TO col_pos.
    CLEAR fieldcat_ln.
    fieldcat_ln-ref_tabname = 'bsik'.
    fieldcat_ln-ref_fieldname = 'DMBTR'.
    fieldcat_ln-fieldname = '30DAYS'.
    fieldcat_ln-col_pos = col_pos.
    fieldcat_ln-do_sum = 'X'.
    fieldcat_ln-hotspot = 'X'.
    fieldcat_ln-emphasize = 'C41'.
    fieldcat_ln-seltext_l = '0-30 Days'.
    fieldcat_ln-seltext_m = '0-30 Days'.
    fieldcat_ln-seltext_s = '0-30 Days'.
    APPEND fieldcat_ln TO fieldcat.
    60 Days
    ADD 1 TO col_pos.
    CLEAR fieldcat_ln.
    fieldcat_ln-ref_tabname = 'bsik'.
    fieldcat_ln-ref_fieldname = 'DMBTR'.
    fieldcat_ln-fieldname = '60DAYS'.
    fieldcat_ln-col_pos = col_pos.
    fieldcat_ln-do_sum = 'X'.
    fieldcat_ln-hotspot = 'X'.
    fieldcat_ln-emphasize = 'C41'.
    fieldcat_ln-seltext_l = '31-60 Days'.
    fieldcat_ln-seltext_m = '31-60 Days'.
    fieldcat_ln-seltext_s = '31-60 Days'.
    APPEND fieldcat_ln TO fieldcat.
    90 Days
    ADD 1 TO col_pos.
    CLEAR fieldcat_ln.
    fieldcat_ln-ref_tabname = 'bsik'.
    fieldcat_ln-ref_fieldname = 'DMBTR'.
    fieldcat_ln-fieldname = '90DAYS'.
    fieldcat_ln-col_pos = col_pos.
    fieldcat_ln-do_sum = 'X'.
    fieldcat_ln-hotspot = 'X'.
    fieldcat_ln-emphasize = 'C41'.
    fieldcat_ln-seltext_l = '61-90 Days'.
    fieldcat_ln-seltext_m = '61-90 Days'.
    fieldcat_ln-seltext_s = '61-90 Days'.
    APPEND fieldcat_ln TO fieldcat.
    99 Days
    ADD 1 TO col_pos.
    CLEAR fieldcat_ln.
    fieldcat_ln-ref_tabname = 'bsik'.
    fieldcat_ln-ref_fieldname = 'DMBTR'.
    fieldcat_ln-fieldname = '99DAYS'.
    fieldcat_ln-col_pos = col_pos.
    fieldcat_ln-do_sum = 'X'.
    fieldcat_ln-hotspot = 'X'.
    fieldcat_ln-emphasize = 'C41'.
    fieldcat_ln-seltext_l = '91-120 Days'.
    fieldcat_ln-seltext_m = '91-120 Days'.
    fieldcat_ln-seltext_s = '91-120 Days'.
    APPEND fieldcat_ln TO fieldcat.
    *120Days
    ADD 1 TO col_pos.
    CLEAR fieldcat_ln.
    fieldcat_ln-ref_tabname = 'bsik'.
    fieldcat_ln-ref_fieldname = 'DMBTR'.
    fieldcat_ln-fieldname = '120DAYS'.
    fieldcat_ln-col_pos = col_pos.
    fieldcat_ln-do_sum = 'X'.
    fieldcat_ln-hotspot = 'X'.
    fieldcat_ln-emphasize = 'C41'.
    fieldcat_ln-seltext_l = '121-180 Days'.
    fieldcat_ln-seltext_m = '121-180 Days'.
    fieldcat_ln-seltext_s = '121-180 Days'.
    APPEND fieldcat_ln TO fieldcat.
    *180 Days
    ADD 1 TO col_pos.
    CLEAR fieldcat_ln.
    fieldcat_ln-ref_tabname = 'bsik'.
    fieldcat_ln-ref_fieldname = 'DMBTR'.
    fieldcat_ln-fieldname = '180DAYS'.
    fieldcat_ln-col_pos = col_pos.
    fieldcat_ln-do_sum = 'X'.
    fieldcat_ln-hotspot = 'X'.
    fieldcat_ln-emphasize = 'C41'.
    fieldcat_ln-seltext_l = '181-365 Days'.
    fieldcat_ln-seltext_m = '181-365 Days'.
    fieldcat_ln-seltext_s = '181-365 Days'.
    APPEND fieldcat_ln TO fieldcat.
    *365 Days
    ADD 1 TO col_pos.
    CLEAR fieldcat_ln.
    fieldcat_ln-ref_tabname = 'bsik'.
    fieldcat_ln-ref_fieldname = 'DMBTR'.
    fieldcat_ln-fieldname = '365DAYS'.
    fieldcat_ln-col_pos = col_pos.
    fieldcat_ln-do_sum = 'X'.
    fieldcat_ln-hotspot = 'X'.
    fieldcat_ln-emphasize = 'C41'.
    fieldcat_ln-seltext_l = '>365 Days'.
    fieldcat_ln-seltext_m = '>365 Days'.
    fieldcat_ln-seltext_s = '>365 Days'.
    APPEND fieldcat_ln TO fieldcat.
    Last Payment Date
    ADD 1 TO col_pos.
    CLEAR fieldcat_ln.
    fieldcat_ln-ref_tabname = 'KNKK'.
    fieldcat_ln-fieldname = 'CASHD'.
    fieldcat_ln-col_pos = col_pos.
    APPEND fieldcat_ln TO fieldcat.
    Street Name
    ADD 1 TO COL_POS.
    CLEAR FIELDCAT_LN.
    FIELDCAT_LN-REF_TABNAME = 'lfa1'.
    FIELDCAT_LN-FIELDNAME = 'STRAS'.
    FIELDCAT_LN-COL_POS = COL_POS.
    APPEND FIELDCAT_LN TO FIELDCAT.
    Telephone
    ADD 1 TO COL_POS.
    CLEAR FIELDCAT_LN.
    FIELDCAT_LN-REF_TABNAME = 'lfa1'.
    FIELDCAT_LN-FIELDNAME = 'TELF1'.
    FIELDCAT_LN-COL_POS = COL_POS.
    APPEND FIELDCAT_LN TO FIELDCAT.
    Credit Group
    ADD 1 TO COL_POS.
    CLEAR FIELDCAT_LN.
    FIELDCAT_LN-REF_TABNAME = 'KNKK'.
    FIELDCAT_LN-FIELDNAME = 'GRUPP'.
    FIELDCAT_LN-COL_POS = COL_POS.
    APPEND FIELDCAT_LN TO FIELDCAT.
    *Sales District
    ADD 1 TO col_pos.
    CLEAR fieldcat_ln.
    fieldcat_ln-ref_tabname = 'KNVV'.
    fieldcat_ln-fieldname = 'BZIRK'.
    fieldcat_ln-col_pos = col_pos.
    fieldcat_ln-seltext_l = 'S_Distt'.
    fieldcat_ln-seltext_m = 'S_Distt'.
    fieldcat_ln-seltext_s = 'S_Distt'.
    APPEND fieldcat_ln TO fieldcat.
    Sales Office
    ADD 1 TO col_pos.
    CLEAR fieldcat_ln.
    fieldcat_ln-ref_tabname = 'KNVV'.
    fieldcat_ln-fieldname = 'VKBUR'.
    fieldcat_ln-col_pos = col_pos.
    fieldcat_ln-seltext_l = 'S_Off'.
    fieldcat_ln-seltext_m = 'S_Off'.
    fieldcat_ln-seltext_s = 'S_Off'.
    APPEND fieldcat_ln TO fieldcat.
    Cust Creat Date
    ADD 1 TO COL_POS.
    CLEAR FIELDCAT_LN.
    FIELDCAT_LN-REF_TABNAME = 'lfa1'.
    FIELDCAT_LN-FIELDNAME = 'ERDAT'.
    FIELDCAT_LN-COL_POS = COL_POS.
    APPEND FIELDCAT_LN TO FIELDCAT.
    Del Plant
    ADD 1 TO col_pos.
    CLEAR fieldcat_ln.
    fieldcat_ln-ref_tabname = 'KNVV'.
    fieldcat_ln-fieldname = 'VWERK'.
    fieldcat_ln-col_pos = col_pos.
    APPEND fieldcat_ln TO fieldcat.
    Sales Group
    ADD 1 TO col_pos.
    CLEAR fieldcat_ln.
    fieldcat_ln-ref_tabname = 'KNVV'.
    fieldcat_ln-fieldname = 'VKGRP'.
    fieldcat_ln-col_pos = col_pos.
    APPEND fieldcat_ln TO fieldcat.
    Sort Criteria
    ADD 1 TO col_pos.
    CLEAR fieldcat_ln.
    fieldcat_ln-ref_tabname = 'bsik'.
    fieldcat_ln-ref_fieldname = 'lifnr'.
    fieldcat_ln-fieldname = 'PSORT'.
    fieldcat_ln-col_pos = col_pos.
    fieldcat_ln-do_sum = 'X'.
    fieldcat_ln-seltext_l = 'Sort Field'.
    fieldcat_ln-seltext_m = 'Sort Field'.
    fieldcat_ln-seltext_s = 'Sort Field'.
    APPEND fieldcat_ln TO fieldcat.
    Sales of Customer
    ADD 1 TO col_pos.
    CLEAR fieldcat_ln.
    fieldcat_ln-ref_tabname = 'bsik'.
    fieldcat_ln-ref_fieldname = 'DMBTR'.
    fieldcat_ln-fieldname = 'TOTSAL'.
    fieldcat_ln-col_pos = col_pos.
    fieldcat_ln-do_sum = 'X'.
    fieldcat_ln-hotspot = 'X'.
    fieldcat_ln-emphasize = 'C41'.
    fieldcat_ln-seltext_l = 'Total Sales'.
    fieldcat_ln-seltext_m = 'Total Sales'.
    fieldcat_ln-seltext_s = 'Total Sales'.
    APPEND fieldcat_ln TO fieldcat.
    ENDFORM. " BUILD_FIELDCAT
    *& Form BUILD_SORTCAT
    text
    --> p1 text
    <-- p2 text
    FORM build_sortcat.
    SORTCAT_LN-SPOS = '1'.
    sortcat_ln-spos = '2'. " 0001
    sortcat_ln-fieldname = 'PSORT'.
    sortcat_ln-up = 'X'. " 0001
    sortcat_ln-subtot = 'X'.
    APPEND sortcat_ln TO sortcat.
    CLEAR sortcat_ln.
    SORTCAT_LN-SPOS = '2'.
    SORTCAT_LN-FIELDNAME = 'lifnr'.
    sortcat_ln-spos = '1'. " 0001
    sortcat_ln-fieldname = 'NAME1'. " 0001
    sortcat_ln-up = 'X'.
    APPEND sortcat_ln TO sortcat.
    ENDFORM. " BUILD_SORTCAT
    *& Form BUILD_EVENTCAT
    text
    --> p1 text
    <-- p2 text
    FORM build_eventcat.
    eventcat_ln-name = 'TOP_OF_PAGE'.
    eventcat_ln-form = 'PAGE_HEADER'.
    APPEND eventcat_ln TO eventcat.
    ENDFORM. " BUILD_EVENTCAT
    *& Form BUILD_LAYOUT
    text
    --> p1 text
    <-- p2 text
    FORM build_layout.
    layout_in-colwidth_optimize = 'X'.
    layout_in-no_hotspot = 'X'.
    layout_in-zebra = 'X'.
    layout_in-get_selinfos = 'X'.
    ENDFORM. " BUILD_LAYOUT
    *& Form START_LIST_VIEWER
    text
    --> p1 text
    <-- p2 text
    FORM start_list_viewer.
    DATA: pgm LIKE sy-repid.
    pgm = sy-repid.
    if t_variant[] is initial.
    t_variant-report = pgm.
    t_variant-variant = '/ATB'.
    t_variant-TEXT = '/ATB'.
    t_variant-DEPENDVARS = 'S'.
    append t_variant.
    clear t_variant.
    endif.
    CALL FUNCTION 'REUSE_ALV_LIST_DISPLAY'
    EXPORTING
    i_callback_program = pgm
    i_callback_user_command = 'USER_COMMAND'
    it_fieldcat = fieldcat
    it_sort = sortcat
    is_layout = layout_in
    i_save = 'A'
    IS_VARIANT = t_variant
    it_events = eventcat
    TABLES
    t_outtab = itab
    EXCEPTIONS
    OTHERS = 2.
    ENDFORM. " START_LIST_VIEWER
    FORM user_command USING ucomm LIKE sy-ucomm
    selfield TYPE slis_selfield.
    DATA l_lifnr(10) TYPE n.
    READ TABLE itab INDEX selfield-tabindex.
    CHECK sy-subrc = 0.
    CASE ucomm.
    WHEN '&IC1'.
    CASE selfield-sel_tab_field.
    WHEN 'ITAB-LIFNR'.
    SET PARAMETER ID 'LIF' FIELD itab-lifnr.
    SET PARAMETER ID 'BUK' FIELD p_bukrs.
    IF itab-lifnr CO '0123456789 '.
    l_lifnr = itab-lifnr.
    itab-lifnr = l_lifnr.
    ENDIF.
    SELECT SINGLE kkber INTO knkk-kkber
    FROM knkk WHERE lifnr = itab-lifnr.
    IF sy-subrc EQ 0.
    v_kkber = knkk-kkber.
    ELSE.
    CLEAR v_kkber.
    ENDIF.
    REFRESH sel_tab[].
    MOVE: 'lifnr' TO sel_tab-selname,
    'P' TO sel_tab-kind, " PARAMETER
    itab-lifnr TO sel_tab-low.
    APPEND sel_tab.
    CLEAR sel_tab.
    MOVE: 'KKBER' TO sel_tab-selname,
    'P' TO sel_tab-kind, " PARAMETER
    v_kkber TO sel_tab-low.
    APPEND sel_tab.
    CLEAR sel_tab.
    SUBMIT rfdkli41
    USING SELECTION-SET 'VAR1'
    WITH SELECTION-TABLE sel_tab
    AND RETURN.
    CALL TRANSACTION 'XK03' AND SKIP FIRST SCREEN.
    WHEN 'ITAB-ZCURRENT'. " 0001
    v_days = 'CUR'.
    PERFORM display_line_item_level.
    WHEN 'ITAB-ZFUTURE'.
    v_days = 'FUT'.
    PERFORM display_line_item_level.
    WHEN 'ITAB-30DAYS'.
    v_days = '30D'.
    PERFORM display_line_item_level.
    WHEN 'ITAB-60DAYS'.
    v_days = '60D'.
    PERFORM display_line_item_level.
    WHEN 'ITAB-90DAYS'.
    v_days = '90D'.
    PERFORM display_line_item_level.
    WHEN 'ITAB-99DAYS'.
    v_days = '99D'.
    PERFORM display_line_item_level.
    WHEN 'ITAB-120DAYS'.
    v_days = '120D'.
    PERFORM display_line_item_level.
    WHEN 'ITAB-180DAYS'.
    v_days = '180D'.
    PERFORM display_line_item_level.
    WHEN 'ITAB-365DAYS'.
    v_days = '365D'.
    PERFORM display_line_item_level.
    WHEN 'ITAB-TOTAL'.
    v_days = ' '.
    PERFORM display_line_item_level. " 0001
    ENDCASE.
    ENDCASE.
    ENDFORM. "USER_COMMAND
    PAGE_HEADER
    FORM page_header.
    WRITE:/115 'Time:', sy-timlo.
    WRITE: /115 'Date:', sy-datum.
    WRITE: /52 'Customer Outstanding Agewise ', "0002
    115 'Page:', sy-pagno.
    SKIP.
    IF p_abs EQ 'X'.
    WRITE: /52 'Vendor Outstanding Agewise (Absolute Aging)',
    115 'Page:', sy-pagno.
    ELSE.
    WRITE: /52 'Vendor Outstanding Agewise (Due Date Aging)',
    115 'Page:', sy-pagno.
    ENDIF.
    SKIP.
    ULINE /(132).
    WRITE: /02 'Open Items as of:', stida.
    IF NOT s_vkgrp[] IS INITIAL.
    IF s_vkgrp-high IS INITIAL.
    WRITE: 52 'Sales Group :',s_vkgrp-low.
    ELSE.
    WRITE: 52 'Sales Group :',s_vkgrp-low,'to',s_vkgrp-high.
    ENDIF.
    ELSE.
    WRITE: 52 'Sales Group : All'.
    ENDIF.
    IF NOT s_grupp[] IS INITIAL.
    IF s_grupp-high IS INITIAL.
    WRITE: 107 'Credit group :',s_grupp-low.
    ELSE.
    WRITE: 107 'Credit group :',s_grupp-low,' to',s_grupp-high.
    ENDIF.
    ELSE.
    WRITE: 107 'Credit Group : All'.
    ENDIF.
    WRITE: /02 'Comapany Code :', p_bukrs.
    IF NOT s_konda[] IS INITIAL.
    IF s_konda-high IS INITIAL.
    WRITE: 52 'Price group :',s_konda-low.
    ELSE.
    WRITE: 52 'Price group :',s_konda-low,' to',s_konda-high.
    ENDIF.
    ELSE.
    WRITE: 52 'Price Group : All'.
    ENDIF.
    IF NOT s_ctlpc[] IS INITIAL.
    IF s_ctlpc-high IS INITIAL.
    WRITE: 107 'Risk category:',s_ctlpc-low.
    ELSE.
    WRITE: 107 'Risk category:',s_ctlpc-low,' to',s_ctlpc-high.
    ENDIF.
    ELSE.
    WRITE: 107 'Risk category: All'.
    ENDIF.
    IF NOT s_vkbur[] IS INITIAL.
    IF s_vkbur-high IS INITIAL.
    WRITE:/02 'Sales Office :',s_vkbur-low.
    ELSE.
    WRITE:/02 'Sales Office :',s_vkbur-low,' to',s_vkbur-high.
    ENDIF.
    ELSE.
    WRITE:/02 'Sales Office : All'.
    ENDIF.
    IF NOT s_kdgrp[] IS INITIAL.
    IF s_kdgrp-high IS INITIAL.
    WRITE: 52 'Customer group :',s_kdgrp-low.
    ELSE.
    WRITE: 52 'Customer group :',s_kdgrp-low,' to',s_kdgrp-high.
    ENDIF.
    ELSE.
    WRITE: 52 'Customer group : All'.
    ENDIF.
    IF NOT s_ktokd[] IS INITIAL.
    IF s_ktokd-high IS INITIAL.
    WRITE: 107 'Account Group:',s_ktokd-low.
    ELSE.
    WRITE: 107 'Account Group:',s_ktokd-low,' to',s_ktokd-high.
    ENDIF.
    ELSE.
    WRITE: 107 'Account Group: All'.
    ENDIF.
    IF NOT s_lifnr[] IS INITIAL.
    IF s_lifnr-high IS INITIAL.
    WRITE: /02 'Vendor No :',s_lifnr-low.
    ELSE.
    WRITE: /02 'Vendor No :',s_lifnr-low,' to',s_lifnr-high.
    ENDIF.
    ELSE.
    WRITE: /02 'Vendor No : All'.
    ENDIF.
    IF NOT s_kkber[] IS INITIAL.
    IF s_kkber-high IS INITIAL.
    WRITE: 52 'Credit Control Area:',s_kkber-low.
    ELSE.
    WRITE: 52 'Credit Control Area:',s_kkber-low,' to',s_kkber-high.

  • Custom Report - Open Order

    Dear All,
    We are in a Process to Develop certain Z-Reports.
    One of the Z-Reports is Open Order Status, which includes following informations:
    Sales Office--Customer Code-Sales Order No.--Item No.Material Description-Booking Qty--Delivered QtyOpen QtySales Unit of MeasurementRate/ Unit--Total Open Value (Open Qty*Rate)
    Everything is fine, except Two columns, i.e.
    1. Delivered Qty
    2. Sales Unit of Measurement
    The Problem is:
    In Report, we are able to capture the Booking Qty (in terms of Sales Unit).
    For example: If, in Sales Order Booking qty is 20 Months, Report shows 20.000 in Column: Booking Qty.
    But, 5  Months have been delivered, then, instead of 5.000 Report shows 150.000 as in Column: Delivered Qty. Apparently, Column: Open Qty, shows -130.000 as open Qty.
    Also, instead of picking Sales Unit of Measurement as Month, System is showing DAY/ TAG in Column: Sales unit of measurement.
    My second Query is:
    Is there any way to get information from Structure, in to Program? As, I referred few Standard Program (related to Sales UoM and Delivered Qty). In Standard Program, value is getting referred to Structure (say, VBMTV, for example).
    Best Regards,
    Amit

    Hi Amit,
    I guess, you have maintained/Created UoM in CUNI.
    Sales Office(1)--Customer Code(2)-Sales Order No(3).--Item No(4).Material Description(5)-Booking Qty(6)--Delivered Qty(7)Open Qty(8)Sales Unit of Measurement(9)Rate/ Unit(10)--Total Open Value (Open Qty*Rate)(11)
    8 = 6-7
    11= 8*10 ( as you already said)
    UoM_sales, VBAP_VRKME / VBEP_WMENG ( i think it will be fine, if we take Sch.Line order qtty, rather than Item level order qtty/Booking qtty, Delivery qtty LIPSD-G_LFIMG or you can take the same from document flow table too)
    Hope you have done the same as above. or it would be helpful,how you are deriving/extracing the desired values from which tables
    How you are calculating Open Qtty?
    not sure about your second query. Trying to give some input in your first query.

  • Open invoice customer ageing query

    I have set up a query to find a customer aging report - open ivoices. I just want to have open records... does anyone have a better query for this?
    SELECT     TOP (100) PERCENT dbo.OCRD.CardName, dbo.OCRD.Balance, (CASE WHEN DATEDIFF(DD, T0.REFDATE, GETDATE()) BETWEEN 0 AND
                          30 THEN CASE WHEN T1.SYSCred <> 0 THEN T1.SYSCred * - 1 ELSE T1.SYSDeb END ELSE 0 END) AS [0-30], (CASE WHEN DATEDIFF(DD, T0.REFDATE, GETDATE())
                          BETWEEN 31 AND 60 THEN CASE WHEN T1.SYSCred <> 0 THEN T1.SYSCred * - 1 ELSE T1.SYSDeb END ELSE 0 END) AS [31-60], (CASE WHEN DATEDIFF(DD,
                          T0.REFDATE, GETDATE()) BETWEEN 61 AND 90 THEN CASE WHEN T1.SYSCred <> 0 THEN T1.SYSCred * - 1 ELSE T1.SYSDeb END ELSE 0 END) AS [61-90],
                          (CASE WHEN DATEDIFF(DD, T0.REFDATE, GETDATE()) > 91 THEN CASE WHEN T1.SYSCred <> 0 THEN T1.SYSCred * - 1 ELSE T1.SYSDeb END ELSE 0 END) AS [90+],
                          dbo.OCRD.CardType, T1.TransType, T1.TransCode, T1.LineMemo, T1.BaseRef, dbo.OCRD.CardCode, T1.BalDueDeb
    FROM         dbo.OJDT AS T0 INNER JOIN
                          dbo.JDT1 AS T1 ON T1.TransId = T0.TransId INNER JOIN
                          dbo.OCRD ON dbo.OCRD.CardCode = T1.ShortName
    WHERE     (dbo.OCRD.Balance >= 1) AND (dbo.OCRD.CardType = 'C') AND (T1.BalDueDeb > 0)
    ORDER BY dbo.OCRD.CardName
    Regards,
    knut

    Knut,
    Try this:
    SELECT T2.CardName, T2.Balance,
    (CASE WHEN DATEDIFF(DD, T0.REFDATE, GETDATE()) BETWEEN 0 AND
    30 THEN CASE WHEN T1.SYSCred != 0 THEN -T1.SYSCred ELSE T1.SYSDeb END ELSE 0 END) AS '0-30',
    (CASE WHEN DATEDIFF(DD, T0.REFDATE, GETDATE()) BETWEEN 31 AND
    60 THEN CASE WHEN T1.SYSCred != 0 THEN -T1.SYSCred ELSE T1.SYSDeb END ELSE 0 END) AS '31-60',
    (CASE WHEN DATEDIFF(DD, T0.REFDATE, GETDATE()) BETWEEN 61 AND
    90 THEN CASE WHEN T1.SYSCred != 0 THEN -T1.SYSCred ELSE T1.SYSDeb END ELSE 0 END) AS '61-90',
    (CASE WHEN DATEDIFF(DD, T0.REFDATE, GETDATE()) >90
    THEN CASE WHEN T1.SYSCred != 0 THEN -T1.SYSCred ELSE T1.SYSDeb END ELSE 0 END) AS '90+',
    T1.TransType, T1.TransCode, T1.LineMemo, T1.BaseRef, T2.CardCode
    FROM dbo.OJDT T0
    INNER JOIN dbo.JDT1 T1 ON T1.TransId = T0.TransId
    INNER JOIN dbo.OCRD T2 ON T2.CardCode = T1.ShortName
    WHERE (T2.Balance >= 1) AND (T2.CardType = 'C') AND (T1.BalDueDeb != T1.BalDueCred)
    Thanks,
    Gordon

  • Column order in SQL Query (PL/SQL function returning a query)

    Hi,
    when I define a PL/SQL function returning a query inside a region, I often find that the column order is arbitrarily changed.
    How do I enforce the column order ?
    Bye,
    Flavio

    I removed the 11th column called service_name from this dynamic query: and now the report says: report error:
    ORA-01403: no data found. I messed around with the Headiuns Type. It was set to Custom. I changed it to Column Names. There is no difference.
    I am not sure how to fix?
    declare topqry varchar2(32000);
    whereqry varchar2(32000);
    finalqry varchar2(32000);
    var_status varchar2(100);
    division_status varchar2(50);
    office_status varchar2(1000);
    user_status varchar2(1000);
    overdue_status varchar2(1000);
    begin
    if :P10_FALLBACK = 'All' then
    var_status:= ' and vp.status in (''FA'',''FBA'',''FBI'',''25%'',''50%'',''90%'',''Closed'') ';
    elsif :P10_FALLBACK = 'Active' then
    var_status:= ' and vp.status in (''FA'',''25%'',''50%'',''90%'',''FBA'') ';
    elsif :P10_FALLBACK = 'FB' then
    var_status:= ' and vp.status in (''FBA'',''FBI'') ';
    elsif :P10_FALLBACK = 'Closed' then
    var_status:= ' and vp.status in (''Closed'') ';
    elsif :P10_FALLBACK = 'Inactive' then
    var_status:= ' and vp.status in (''FBI'') ';
    end if;
    if :P10_DIVISION = 'All' then
    division_status:= ' and vp.vms_division in (''News'',''Ad Services'') ';
    elsif :P10_DIVISION = 'News' then
    division_status:= ' and vp.vms_division in (''News'') ';
    elsif :P10_DIVISION = 'Ad' then
    division_status:= ' and vp.vms_division in (''Ad Services'') ';
    end if;
    if :P10_OFFICE = '%' then
    office_status:= ' and OFFICE_ID in (select office
    from VMS_OFFICE_ACCESS
    where user_id = lower(:P0_user) ) ';
    else
    office_status:= ' and OFFICE_ID in :P10_OFFICE ';
    end if;
    if :P10_LIMIT_USER = '%' then
    user_status := ' and SALESPERSON in (select first_name || '' '' || last_name
    from VMS_PROSPECT_users u
    join vms_office_access o
    on u.office_id = OFFICE
    where o.user_id = lower(:P0_USER) ) ';
    else
    user_status:= ' and SALESPERSON in (:P10_LIMIT_USER ) ';
    end if;
    if :P10_SHOW_OVERDUE = 'Show' then
    overdue_status:= ' and target_close_date <= sysdate ';
    var_status:= ' and vp.status in (''25%'',''50%'',''90%'',''FBA'') ';
    else
    overdue_status:= ' and FIRST_APPOINTMENT between
    nvl(to_date(:P10_FIRST_APPT_START, ''mm/dd/yyyy''),FIRST_APPOINTMENT) and
    nvl(to_date(:P10_FIRST_APPT_END,''mm/dd/yyyy''),FIRST_APPOINTMENT) ';
    end if;
    topqry := 'SELECT OFFICE_ID ,vp.PROSPECT_ID ,ENTRY_DATE ,ACCOUNT , NEXT_CONTACT_DATE ,ACTION_STEP ,
    TARGET_CLOSE_DATE ,vp.STATUS ,SALESPERSON ,vp.SALES_TYPE ,service_name , FIRST_APPOINTMENT ,MODIFY_DATE ,EST_ANNUAL_REVENUE ,EST_INCREMENTAL_REVENUE ,
    pi.NOTES , pi.SALES_TYPE ,pi.STATUS ,Contact ,Origin_Source FROM VMS_PROSPECTING_ITEMS pi right outer join VMS_PROSPECTS vp on vp.PROSPECT_ID = pi.PROSPECT_ID left outer join VMS_SERVICES vs on vs.service_ID = pi.service_ID where 1 = 1 ';
    whereqry := ' and (not exists (select *
    from VMS_PROSPECTING_ITEMS i3
    where vp.prospect_id = i3.prospect_id)
    or exists (select *
    from VMS_PROSPECTING_ITEMS i2
    where i2.order_id = pi.order_id
    and active = ''Y'' )) and instr(upper(ACCOUNT),upper(nvl(:P10_ACCOUNT,ACCOUNT))) > 0 ';
    whereqry := whereqry || var_status || division_status || office_status || user_status || overdue_status;
    finalqry := topqry || whereqry;
    return finalqry ;
    end;

  • Vendor/Customer Age analysis

    hello
    the std vendor/creditor age analyses reports don't have 30/60/90 day analysis columns. how do you adaapt the reports to analyse by 30 day periods and which reports do you use? this is ecc 6 classic g/l
    thanks.

    Hi Abaper's ,
    S_ALR_87012085 - Vendor Payment History with OI Sorted List
    F.22 Customer  ageing
    I want to see this T-code.. Program name from se93 . so how i can ? I am not getting this Program name ?
    pls help as I new in this project .
    Warm Regards ,
    Navin

  • Customer Aging Report Query (without invoices offset by incoming payment)

    Hi All Experts,
    May I know is there any field from JDT1 mention which invoices is already offset by the Incoming payment or AR Credit note? Because I do not want those invoices that already offset by incoming payment appear at the Customer Aging Report. Meaning, the data appear in the Customer Aging Report is only show those invoices that yet to pay by the customer. Kindly give some advise on it. Thanks a lot.
    Thanks and regards,
    Angie Ng

    Hi David,
    Thanks for your suggestion. I have try it, but all of my JDT1.IntrnMatch is in 0 value. Meaning in my situation it is none of any reconcilliation making. But from my SBO window, i manage to see that actually this incoming payment is pay for which invoices. Problem is it is difficult for me to do the possiblity logic that might be happen in my Customer Aging Report Query. Please give some advise that how to show only those invoices yet to pay? The current query will show all the data no matter the invoices or credit memo has been offset.
    select OCRD.cardcode 'Supplier Code',OCRD.cardname 'Name',sysdeb  'Debit GBP',syscred 'Credit GBP',
    case JDT1.transtype
    when '13' then 'INV'
    when '14' then 'AR CN'
    when '24' then 'INCOMING'
    else 'Other'
    end 'Type',
    Ref1,
    fccurrency 'BP Currency',
    CONVERT(VARCHAR(10), refdate, 103)'Posting Date' ,
    CONVERT(VARCHAR(10), duedate, 103) 'Due Date',
    CONVERT(VARCHAR(10), taxdate, 103) 'Doc Date' ,
    CASE
    when (DATEDIFF(dd,refdate,current_timestamp))+1 < 31
    then
    case
    when syscred <> 0 then syscred * - 1
    else sysdeb
    end
    end "0-30 days",
    case when ((datediff(dd,refdate,current_timestamp))+1 > 30
    and (datediff(dd,refdate,current_timestamp))+1< 61)
    then
    case
    when syscred <> 0 then syscred * - 1
    else sysdeb
    end
    end "31 to 60 days",
    case when ((datediff(dd,refdate,current_timestamp))+1 > 60
    and (datediff(dd,refdate,current_timestamp))+1< 91)
    then
    case
    when syscred <> 0 then syscred * - 1
    else sysdeb
    end
    end "61 to 90 days",
    CASE
    when (DATEDIFF(dd,refdate,current_timestamp))+1 > 90
    then
    case
    when syscred= 0 then sysdeb
    when sysdeb= 0 then syscred * - 1
    end
    end "90 + days"
    from JDT1,OCRD where JDT1.shortname = OCRD.cardcode and cardtype = 'c' and intrnmatch = '0'
    ORDER BY OCRD.CARDCODE, taxdate

  • Customer Aging Report

    Hi all,
    Our client requires aging report
    for a customer in the following format
    Customer Code,Name,0-30 Days,31-60 days,61-90 days,
    91-120 days,121-150 days,151-180 days,180 + above days,Row Total (all days).
    Condition:  By Aging date
    Thanks
    Jeyakanthan

    Hi Jeyakanthan,
    SAP Business One displays the relevant open receivables in four columns for the time interval for customer aging report.
    The fourth column includes open receivables for the days/months/periods prior to the first three columns. For more information please refer to the explanation for 'Time Intervals' field in Online help.
    Based on the testing in 2007 version, it is improved that there is one more column added there, which means if you set 'Time Intervals' as month, you may get five columns in aging report, the first four columns are for 4 months and the last column shows open receivables for the months prior to the first four columns.
    Regards,
    Van Xue
    SAP Business One Forums Team

  • Customer Ageing analysis-Region wise

    Hi,
    There is a requirement to see Customer ageing analysis region wise. Regions in SD are defined as Sales Offices. Sales offices are at the header level in Sales Order.
    If we can bring Sales office in Accounting document in some field, is there any way to see region wise ageing analysis in standard report.
    They also want to see Sales employee wise ageing analysis.Please let me know If there is any way out for this in standard.
    Regards,

    Hi,
    In the Standard Report Itself, if you select dynamic selection, you get the option of selecting the region from the Customer Master.  TCode (S_ALR_87012178)
    With this, you can achieve the result of getting the ageing report region wise.
    Hope this information is of some help to you.
    Appreciate any points awarded if found useful.
    Regards,
    Venkat

  • Customer Ageing - Report Painter

    Hi,
       Can any tell whether we can achieve the customized reports for the customer ageing (Txn: S_ALR_870121276) through report painter. If so can i get any help for the steps to be followed /material regarding this.
    Regards,
    Nagendra Prasad.J

    This is one aging report.. have a look at it and see if its useful.
    This displays cusomer and vendor aging report.
    Award points if useful.
    REPORT zgar_ic_custvend_aging NO STANDARD PAGE HEADING
                                  LINE-SIZE 192
                                  MESSAGE-ID zz
                                  LINE-COUNT 65.
                           Data declaration                              *
    TABLES: bsik,                          "Secondary Index for Vendors
            t880,                          "Global Company Data
            t001s,                         "Accounting Clerks
            t001.                          "Company Codes
                   Internal table declaration.                           *
    *Store data from vendor tables (BSIK, BSAK).
    DATA: BEGIN OF g_t_venddata OCCURS 0,
             bukrs LIKE bsak-bukrs,          "Company code
             lifnr LIKE bsak-lifnr,          "Vendor number
             gjahr LIKE bsak-gjahr,          "Fiscal year
             zuonr LIKE bsak-zuonr,          "Assignment number
             shkzg LIKE bsak-shkzg,          "Debit/credit indicator
             dmbtr LIKE bsak-dmbtr,          "Amount in local currency
             dmbe2 LIKE bsak-dmbe2,          "Amount in global currency
             belnr LIKE bsak-belnr,          "Document number
             augdt LIKE bsak-augdt,          "Clearing date
             augbl LIKE bsak-augbl,          "Doc. no. of clearing document
             budat LIKE bsak-budat,          "Posting date
             hkont LIKE bsak-hkont,          "GL account
             waers LIKE bsak-waers,          "Currency key
             xblnr LIKE bsak-xblnr,          "Document number
             acctp TYPE c,                   "Account type. D or K
             name1 LIKE kna1-name1,          "Comp nmae
         END OF g_t_venddata.
    *Store data from customer tables (BSID, BSAD).
    DATA: BEGIN OF g_t_custdata OCCURS 0,
            kunnr LIKE bsad-kunnr,                "Customer Number
            bukrs LIKE bsad-bukrs,                "Company Code
            gjahr LIKE bsad-gjahr,                "Fiscal year
            augdt LIKE bsad-augdt,                "clearing date
            zuonr LIKE bsad-zuonr,                "Assignment number
            belnr LIKE bsad-belnr,                "acct doc no
            name1 LIKE lfa1-name1,                "name from cust master
            budat LIKE bsad-budat,                "posting date
            bldat LIKE bsad-bldat,                "document date
            xblnr LIKE bsad-xblnr,                "document number
            shkzg LIKE bsad-shkzg,                "debit/credit indicator
            dmbtr LIKE bsad-dmbtr,                "local currency
            dmbe2 LIKE bsad-dmbe2,                "Group currency
            waers LIKE bsad-waers,                "Currency key
            hkont LIKE bsad-hkont,                "GL account
            acctp TYPE c,                         "Account type  D/K
          END OF g_t_custdata.
    *Store data according to age category.
    DATA: BEGIN OF g_t_maintab OCCURS 0,
            bukrs LIKE bsad-bukrs,                "Company Code
            tpart(10) TYPE c,                     "Trading partner
            acctp TYPE c,                         "Account type D/K
            gjahr LIKE bsad-gjahr,                "Fiscal year
            augdt LIKE bsad-augdt,                "clearing date
            zuonr LIKE bsad-zuonr,                "Assignment number
            belnr LIKE bsad-belnr,                "acct doc no
            name1 LIKE lfa1-name1,                "name from cust master
            budat LIKE bsad-budat,                "posting date
            bldat LIKE bsad-bldat,                "document date
            xblnr LIKE bsad-xblnr,                "document number
            shkzg LIKE bsad-shkzg,                "debit/credit indicator
            dmbtr LIKE bsad-dmbtr,                "local currency
            hkont   LIKE bsad-hkont,              "GL account
            bktxt   LIKE bkpf-bktxt,              "Document header text
            butxt   LIKE t001-butxt,              "company name
            waers   LIKE bsad-waers,              "Currency key
            balamt  TYPE dmbtr,                   "balance amount
            amount1 TYPE dmbtr,                   "Amount for category 1
            amount2 TYPE dmbtr,                   "Amount for category 2
            amount3 TYPE dmbtr,                   "Amount for category 3
            amount4 TYPE dmbtr,                   "Amount for category 4
          END OF g_t_maintab.
    *Store all the vendor numbers
    DATA: BEGIN OF g_t_vend OCCURS 5000,
            lifnr                LIKE lfa1-lifnr,
            name1                LIKE lfa1-name1,
          END OF g_t_vend.
    *Store all the customer numbers
    DATA: BEGIN OF g_t_cust OCCURS 5000,
            kunnr                LIKE kna1-kunnr,
            name1                LIKE kna1-name1,
          END OF g_t_cust.
    *Range to store trading partner numbers.
    RANGES : r_tpart FOR lfa1-lifnr.
    Variables to maintain open items count
    DATA: g_open_items  TYPE i,
          g_open_items1 TYPE i,
          g_open_items2 TYPE i,
          g_open_items3 TYPE i,
          g_open_items4 TYPE i.
    *Header texts (For report header)
    DATA: g_headertext1(50),
          g_headertext2(16).
                   Selection screen declaration.                         *
    SELECT-OPTIONS p_ccode FOR bsik-bukrs OBLIGATORY.      "Company code
    SELECT-OPTIONS p_tpartv FOR t880-rcomp.                "Trading partner
    SELECT-OPTIONS p_clerk FOR t001s-busab.                "Accounting clerk
    SELECT-OPTIONS p_pdate FOR sy-datum.                   "Posting date
    PARAMETERS p_adate LIKE sy-datum DEFAULT sy-datum.     "Age as of date
    *GL Account codes
    SELECT-OPTIONS p_glacc FOR bsik-hkont DEFAULT '48200000' TO '48299999'
                   OBLIGATORY.
    *Data Column range (Age range)
    SELECTION-SCREEN SKIP.
    SELECTION-SCREEN BEGIN OF BLOCK age_range WITH FRAME TITLE text-001.
    SELECTION-SCREEN BEGIN OF LINE.
    SELECTION-SCREEN COMMENT 1(20) text-002.
    SELECTION-SCREEN POSITION 33.
    PARAMETERS p_range1(4) TYPE c DEFAULT '30' OBLIGATORY.
    SELECTION-SCREEN POSITION 43.
    PARAMETERS p_range2(4) TYPE c DEFAULT '60' OBLIGATORY.
    SELECTION-SCREEN POSITION 53.
    PARAMETERS p_range3(4) TYPE c DEFAULT '90' OBLIGATORY.
    SELECTION-SCREEN END OF LINE.
    SELECTION-SCREEN END OF BLOCK age_range.
    *Reporting Currency
    SELECTION-SCREEN SKIP.
    SELECTION-SCREEN BEGIN OF BLOCK crr_sel WITH FRAME TITLE text-003.
    PARAMETERS: p_local  RADIOBUTTON GROUP cgrp DEFAULT 'X',
                p_grpcrr RADIOBUTTON GROUP cgrp.
    SELECTION-SCREEN END OF BLOCK crr_sel.
    *Type of report
    SELECTION-SCREEN SKIP.
    SELECTION-SCREEN BEGIN OF BLOCK rep_sel WITH FRAME TITLE text-004.
    PARAMETERS: p_detrep  RADIOBUTTON GROUP rgrp DEFAULT 'X',
                p_sumrep  RADIOBUTTON GROUP rgrp.
    SELECTION-SCREEN END OF BLOCK rep_sel.
                               Top-Of-Page                               *
    TOP-OF-PAGE.
      IF p_detrep = 'X'.
    Write report header for detailed report.
        PERFORM f8000_write_comp_header
                USING g_t_maintab-bukrs
                      g_t_maintab-waers
                      g_t_maintab-butxt
                      text-t02
                      g_headertext1.
      ELSE.
    Write report header for summary report.
        PERFORM f8000_write_comp_header
                USING '0000'
                      g_t_maintab-waers
                      text-t05
                      g_headertext1
                      g_headertext2.
      ENDIF.
    *Eject
                           Line selection event                          *
    AT LINE-SELECTION.
      IF p_detrep = 'X'.
        SET PARAMETER ID 'BLN' FIELD g_t_maintab-belnr.
        SET PARAMETER ID 'BUK' FIELD g_t_maintab-bukrs.
        SET PARAMETER ID 'GJR' FIELD g_t_maintab-gjahr.
        IF NOT g_t_maintab-belnr IS INITIAL.
    Call transaction FB03 to display line item details.
          CALL TRANSACTION 'FB03' AND SKIP FIRST SCREEN.
        ELSE.
          MESSAGE e999 WITH text-e01.
        ENDIF.
    Clear belnr.
        MOVE space TO g_t_maintab-belnr.
      ENDIF.
    *Eject
                   Main processing of program starts here                *
    START-OF-SELECTION.
    Pad zeroes to the trading partner range to make it 10 chars
      PERFORM f0100_prepare_tradingpartners.
    Fetch data from customer and vendor tables.
      PERFORM f1000_fetch_data.
    Prepare data. Assign sign to amount, separate line items into 4 age
    categories
      PERFORM f2000_prepare_data.
         End of selection.
    END-OF-SELECTION.
    Write reports
      IF NOT g_t_maintab[] IS INITIAL.
        IF p_detrep = 'X'.
          PERFORM f4000_write_detailed_rep.
        ELSE.
          PERFORM f5000_write_summary_rep.
        ENDIF.
      ELSE.
        MESSAGE i999 WITH text-e02 text-e03.
      ENDIF.
    *Eject
    *&      Form  f0100_prepare_tradingpartners
          Subroutine for preparing trading partner numbers. Pad extra
          zeros to make trading partner field size 10.
    FORM f0100_prepare_tradingpartners.
      LOOP AT p_tpartv.
        MOVE-CORRESPONDING p_tpartv TO r_tpart.
        IF NOT r_tpart-low IS INITIAL.
          CALL FUNCTION 'CONVERSION_EXIT_ALPHA_INPUT'
               EXPORTING
                    input  = r_tpart-low
               IMPORTING
                    output = r_tpart-low.
        ENDIF.
        IF NOT r_tpart-high IS INITIAL.
          CALL FUNCTION 'CONVERSION_EXIT_ALPHA_INPUT'
               EXPORTING
                    input  = r_tpart-high
               IMPORTING
                    output = r_tpart-high.
        ENDIF.
        APPEND r_tpart.
      ENDLOOP.
    ENDFORM.                    " f0100_prepare_tradingpartners
    *Eject
    *&      Form  f1000_fetch_data
          This subroutine is used to fetch data from customer (BSID and
           BSAD) and vendor (BSIK and BSAK) tables.
    FORM f1000_fetch_data.
    *Get vendor data.
      PERFORM f1100_fetch_vend_data.
    *Get customer data.
      PERFORM f1200_fetch_cust_data.
    ENDFORM.                    " f1000_fetch_data
    *Eject
    *&      Form  f1100_fetch_vend_data
          This subroutine is used to get data from BSIK and BSAK
          tables. First all vendors are selected then all line items are
          retrieved from BSIK and BSAK tables.
    FORM f1100_fetch_vend_data.
      PERFORM f9000_progress_indicator USING text-m01.
    *Select all vendors.
      SELECT h~lifnr
             h~name1
      INTO TABLE g_t_vend
      FROM lfa1 AS h
      JOIN lfb1 AS c
        ON h~lifnr = c~lifnr
    WHERE h~lifnr IN r_tpart
       AND c~bukrs IN p_ccode
       AND c~busab IN p_clerk.
      IF NOT g_t_vend[] IS INITIAL.
        PERFORM f9000_progress_indicator USING text-m01.
    Select open line items.
        SELECT bukrs                 "company
               lifnr                 "vendor number
               augdt                 "clearing date
               augbl                 "docno for clearing doc
               zuonr                 "allocation number
               gjahr                 "fiscal year
               belnr                 "acct doc no
               buzei                 "line item within doc
               budat                 "posting date
               waers                 "Currency key
               xblnr                 "document number
               shkzg                 "debit, credit indicator
               dmbtr                 "local currency
               hkont                 "gl acct
               dmbe2                 "group currency
         FROM bsik
         INTO CORRESPONDING FIELDS OF TABLE g_t_venddata
         FOR ALL ENTRIES IN g_t_vend
         WHERE bukrs IN p_ccode           "company code
         AND lifnr = g_t_vend-lifnr       "trading partner
         AND budat IN  p_pdate            "Posting date
         AND budat <= p_adate
         AND hkont IN p_glacc             "gl acct
        PERFORM f9000_progress_indicator USING text-m04.
    Select cleared line items.
        SELECT bukrs                 "company
               lifnr                 "vendor number
               augdt                 "clearing date
               augbl                 "docno for clearing doc
               zuonr                 "allocation number
               gjahr                 "fiscal year
               belnr                 "acct doc no
               buzei                 "line item within doc
               budat                 "posting date
               waers                 "Currency key
               xblnr                 "document number
               shkzg                 "debit, credit indicator
               dmbtr                 "local currency
               hkont                 "gl acct
               dmbe2                 "group currency
         FROM bsak
         APPENDING CORRESPONDING FIELDS OF TABLE g_t_venddata
         FOR ALL ENTRIES IN g_t_vend
         WHERE bukrs IN p_ccode           "Company code
         AND lifnr =   g_t_vend-lifnr     "Selected vendors
         AND augdt >   p_adate
         AND budat IN  p_pdate            "Posting date
         AND budat <=  p_adate
         AND hkont IN  p_glacc            "GL acct
      ENDIF.
      IF NOT g_t_venddata[] IS INITIAL.
    *Set Account type flag for vendors -- 'K'.
        SORT g_t_venddata BY bukrs lifnr.
        SORT g_t_vend     BY lifnr.
        g_t_venddata-acctp = text-k01.
        MODIFY g_t_venddata TRANSPORTING acctp WHERE acctp = ' '.
    Add vendor names.
        LOOP AT g_t_venddata WHERE name1 = ' '.
          READ TABLE g_t_vend
               WITH KEY lifnr = g_t_venddata-lifnr BINARY SEARCH.
          IF sy-subrc = 0.
            g_t_venddata-name1 = g_t_vend-name1.
            MODIFY g_t_venddata TRANSPORTING name1 WHERE lifnr =
                   g_t_venddata-lifnr.
          ENDIF.
        ENDLOOP.
      ENDIF.
    ENDFORM.                    " f1100_fetch_vend_data
    *Eject
    *&      Form  f1200_fetch_cust_data
          This function module is used to get data from BSID and BSAD
          tables. First all customers are selected then all line items
          are retrieved from BSIK and BSAK tables.
    FORM f1200_fetch_cust_data.
      PERFORM f9000_progress_indicator USING text-m06.
    *Select all customers.
      SELECT h~kunnr
           h~name1
      INTO TABLE g_t_cust
      FROM kna1 AS h
      JOIN knb1 AS c
        ON h~kunnr = c~kunnr
    WHERE h~kunnr IN r_tpart
       AND c~bukrs IN p_ccode
       AND c~busab IN p_clerk.
      IF NOT g_t_cust[] IS INITIAL.
        PERFORM f9000_progress_indicator USING text-m06.
    *Fetch customer open items.
        SELECT bukrs                 "company
               kunnr                 "customer number
               augdt                 "clearing date
               augbl                 "docno for clearing doc
               zuonr                 "allocation number
               gjahr                 "fiscal year
               belnr                 "acct doc no
               buzei                 "line item within doc
               budat                 "posting date
               waers                 "Currency key
               xblnr                 "document number
               shkzg                 "debit, credit indicator
               dmbtr                 "local currency
               hkont                 "gl acct
               dmbe2                 "group currency
         FROM bsid
         INTO CORRESPONDING FIELDS OF TABLE g_t_custdata
         FOR ALL ENTRIES IN g_t_cust
         WHERE bukrs IN p_ccode           "company code
         AND kunnr = g_t_cust-kunnr       "Selected customer
         AND budat IN  p_pdate            "Posting date
         AND budat <= p_adate
         AND hkont IN  p_glacc            "GL acct
        PERFORM f9000_progress_indicator USING text-m07.
    Select Customer cleared line items.
        SELECT bukrs                 "company
               kunnr                 "customer number
               augdt                 "clearing date
               augbl                 "docno for clearing doc
               zuonr                 "allocation number
               gjahr                 "fiscal year
               belnr                 "acct doc no
               buzei                 "line item within doc
               budat                 "posting date
               waers                 "Currency key
               xblnr                 "document number
               shkzg                 "debit, credit indicator
               dmbtr                 "local currency
               hkont                 "gl acct
               dmbe2                 "group currency
         FROM bsad
         APPENDING CORRESPONDING FIELDS OF TABLE g_t_custdata
         FOR ALL ENTRIES IN g_t_cust
         WHERE bukrs IN p_ccode           "company code
         AND kunnr = g_t_cust-kunnr       "Selected customer
         AND augdt > p_adate
         AND budat IN  p_pdate            "Posting date
         AND budat <= p_adate
         AND hkont IN p_glacc             "GL acct
      ENDIF.
      IF NOT g_t_custdata[] IS INITIAL.
    *Set account type for customers -- 'D'.
        SORT g_t_custdata BY bukrs kunnr.
        SORT g_t_cust     BY kunnr.
        g_t_custdata-acctp = text-d01.
        MODIFY g_t_custdata TRANSPORTING acctp WHERE acctp = ' '.
    Add customer names.
        LOOP AT g_t_custdata WHERE name1 = ' '.
          READ TABLE g_t_cust
               WITH KEY kunnr = g_t_custdata-kunnr BINARY SEARCH.
          IF sy-subrc = 0.
            g_t_custdata-name1 = g_t_cust-name1.
            MODIFY g_t_custdata TRANSPORTING name1 WHERE kunnr =
                   g_t_custdata-kunnr.
          ENDIF.
        ENDLOOP.
      ENDIF.
    ENDFORM.                    " f1200_fetch_cust_data
    *Eject
    *&      Form  f2000_Prepare_data
          This function module is used to format data according to report
          1. Fetch local or global amount value according to user
             parametrs.
          2. Sign is assigned to each amount
          3. Line items are categorized according to the aging category
          4. Populate document header text.
          5. Populate company names.
    FORM f2000_prepare_data.
      DATA : l_amount TYPE dmbtr,
             l_age_of_item TYPE p,
             l_as_of_age TYPE d,
             l_posting_date TYPE d,
             l_time TYPE t,
             l_count TYPE sy-tabix.
      DATA: BEGIN OF l_t_doc_txt OCCURS 0,
            bukrs TYPE bkpf-bukrs,
            belnr TYPE bkpf-belnr,
            bktxt LIKE bkpf-bktxt,
            END OF l_t_doc_txt.
      DATA: BEGIN OF l_t_curr_txt OCCURS 0,
              bukrs LIKE t001-bukrs,
              waers LIKE t001-waers,
              butxt LIKE t001-butxt,
            END OF l_t_curr_txt.
      PERFORM f9000_progress_indicator USING text-m03.
      l_as_of_age = p_adate.
      MOVE text-t01 TO l_time.
    *Prepare G_T_MAINTAB, 1. Populate vendor data.
      LOOP AT g_t_venddata.
        CLEAR: g_t_maintab, l_amount, l_age_of_item, l_posting_date.
        MOVE-CORRESPONDING g_t_venddata TO g_t_maintab.
        g_t_maintab-tpart = g_t_venddata-lifnr.
    Check for currency selected by the user.
        IF p_local = 'X'.
          l_amount = g_t_venddata-dmbtr.
        ELSE.
          l_amount = g_t_venddata-dmbe2.
        ENDIF.
    Check for type of transaction. Debit or Credit.
        IF g_t_venddata-shkzg = 'H'.
          l_amount = l_amount * -1.
        ENDIF.
        MOVE g_t_venddata-budat TO l_posting_date.
    Assign amount value to appropriate aging category.
    Calculate age of line item
        CALL FUNCTION '/SDF/CMO_DATETIME_DIFFERENCE'
             EXPORTING
                  date1            = l_posting_date
                  time1            = l_time
                  date2            = l_as_of_age
                  time2            = l_time
             IMPORTING
                  datediff         = l_age_of_item
             EXCEPTIONS
                  invalid_datetime = 1
                  OTHERS           = 2.
        IF sy-subrc <> 0.
          MESSAGE ID sy-msgid TYPE sy-msgty NUMBER sy-msgno
                  WITH sy-msgv1 sy-msgv2 sy-msgv3 sy-msgv4.
        ENDIF.
        IF l_age_of_item <= p_range1.                           "Range1
          g_t_maintab-amount1 = l_amount.
        ELSE.
          IF l_age_of_item > p_range1 AND l_age_of_item <= p_range2."Range2
            g_t_maintab-amount2 = l_amount.
          ELSE.
            IF l_age_of_item > p_range2
                AND l_age_of_item <= p_range3.                  "Range3
              g_t_maintab-amount3 = l_amount.
            ELSE.                                               "Range4
              g_t_maintab-amount4 = l_amount.
            ENDIF.
          ENDIF.
        ENDIF.
    Assign balance amounts.
        g_t_maintab-balamt  = l_amount.
    Add record to main internal table
        APPEND g_t_maintab.
      ENDLOOP.
    *Prepare G_T_MAINTAB, 2. Populate customer data.
      LOOP AT g_t_custdata.
        CLEAR: g_t_maintab, l_amount, l_age_of_item, l_posting_date.
        MOVE-CORRESPONDING g_t_custdata TO g_t_maintab.
        g_t_maintab-tpart = g_t_custdata-kunnr.
    Check for currency selected by the user.
        IF p_local = 'X'.
          l_amount = g_t_custdata-dmbtr.
        ELSE.
          l_amount = g_t_custdata-dmbe2.
        ENDIF.
    Check for type of transaction. Debit or Credit.
        IF g_t_custdata-shkzg = 'H'.
          l_amount = l_amount * -1.
        ENDIF.
        MOVE g_t_custdata-budat TO l_posting_date.
    Assign amount value to appropriate aging category.
    Calculate age of line item
        CALL FUNCTION '/SDF/CMO_DATETIME_DIFFERENCE'
             EXPORTING
                  date1            = l_posting_date
                  time1            = l_time
                  date2            = l_as_of_age
                  time2            = l_time
             IMPORTING
                  datediff         = l_age_of_item
             EXCEPTIONS
                  invalid_datetime = 1
                  OTHERS           = 2.
        IF sy-subrc <> 0.
          MESSAGE ID sy-msgid TYPE sy-msgty NUMBER sy-msgno
                  WITH sy-msgv1 sy-msgv2 sy-msgv3 sy-msgv4.
        ENDIF.
        IF l_age_of_item <= p_range1.                           "Range1
          g_t_maintab-amount1 = l_amount.
        ELSE.
          IF l_age_of_item > p_range1 AND l_age_of_item <= p_range2."Range2
            g_t_maintab-amount2 = l_amount.
          ELSE.
            IF l_age_of_item > p_range2
               AND l_age_of_item <= p_range3.                   "Range3
              g_t_maintab-amount3 = l_amount.
            ELSE.                                               "Range4
              g_t_maintab-amount4 = l_amount.
            ENDIF.
          ENDIF.
        ENDIF.
    Assign balance amounts.
        g_t_maintab-balamt  = l_amount.
        APPEND g_t_maintab.
      ENDLOOP.
      IF NOT g_t_maintab[] IS INITIAL.
        SORT g_t_maintab BY bukrs belnr.
        SELECT bukrs belnr bktxt FROM bkpf
              INTO CORRESPONDING FIELDS OF TABLE l_t_doc_txt
              FOR ALL ENTRIES IN g_t_maintab
              WHERE bukrs = g_t_maintab-bukrs AND
                    belnr = g_t_maintab-belnr AND
                    gjahr = g_t_maintab-gjahr.
        SELECT bukrs butxt waers FROM t001
               INTO CORRESPONDING FIELDS OF TABLE l_t_curr_txt
               WHERE bukrs IN p_ccode.
        SORT l_t_doc_txt BY bukrs belnr.
        SORT l_t_curr_txt BY bukrs.
    Add Document header texts
        LOOP AT g_t_maintab.
          l_count = sy-tabix.
          READ TABLE l_t_doc_txt
               WITH KEY bukrs = g_t_maintab-bukrs belnr = g_t_maintab-belnr
               BINARY SEARCH.
          IF sy-subrc = 0.
            g_t_maintab-bktxt = l_t_doc_txt-bktxt.
            MODIFY g_t_maintab INDEX l_count TRANSPORTING bktxt.
          ENDIF.
          CLEAR l_t_doc_txt-bktxt.
        ENDLOOP.
        PERFORM f9000_progress_indicator USING text-m03.
    Update company name and currency field.
        LOOP AT g_t_maintab WHERE butxt =  ' ' OR waers = ' '.
          READ TABLE l_t_curr_txt
               WITH KEY bukrs = g_t_maintab-bukrs BINARY SEARCH.
          IF sy-subrc = 0.
            g_t_maintab-butxt    = l_t_curr_txt-butxt.
            g_t_maintab-waers    = l_t_curr_txt-waers.
            MODIFY g_t_maintab TRANSPORTING butxt waers
                      WHERE bukrs = g_t_maintab-bukrs.
          ENDIF.
          CLEAR: l_t_curr_txt-butxt, l_t_curr_txt-waers.
        ENDLOOP.
      ENDIF.                    "IF NOT g_t_maintab[] IS INITIAL
    ENDFORM.                    " f2000_Prepare_data
    *Eject
    *&      Form  f4000_write_detailed_rep
          This subroutine is used to write detailed report.
    FORM f4000_write_detailed_rep.
      DATA l_t_maintab LIKE g_t_maintab.
    Variables for summary amount of each account type of a trading pair
      DATA: l_tpart_acc1 TYPE dmbtr,
            l_tpart_acc2 TYPE dmbtr,
            l_tpart_acc3 TYPE dmbtr,
            l_tpart_acc4 TYPE dmbtr,
            l_tpart_acc_bal TYPE dmbtr.
    Variables for summary amount of each trading pair
      DATA: l_tpart1 TYPE dmbtr,
            l_tpart2 TYPE dmbtr,
            l_tpart3 TYPE dmbtr,
            l_tpart4 TYPE dmbtr,
            l_tpart_bal TYPE dmbtr.
      SET TITLEBAR 'DETAILED_REPORT'.
    Prepare header texts for report header.
      CONCATENATE  p_adate4(2)  '/' p_adate6(2) '/' p_adate+0(4) INTO
           g_headertext1.
      CONCATENATE text-h20 g_headertext1
                  INTO g_headertext1 SEPARATED BY space.
      SORT g_t_maintab BY bukrs tpart acctp.
    *Start detailed report.
      FORMAT INTENSIFIED OFF.
      LOOP AT g_t_maintab.
        l_t_maintab = g_t_maintab.
    *At new company code write page header
        AT NEW bukrs.
          g_t_maintab = l_t_maintab.
          NEW-PAGE.
        ENDAT.
    *Write line item records.
        WRITE:/2    l_t_maintab-tpart,      "Trading partner
                14  l_t_maintab-acctp,      "Account type
                17  l_t_maintab-belnr,      "Document number
                35  l_t_maintab-budat,      "posting date
                47  l_t_maintab-xblnr,      "Reference doc. number
                65  l_t_maintab-bktxt,      "Doc header text.
                92  l_t_maintab-balamt,     "balance amount
                114 l_t_maintab-amount1,    "Amount cat 1
                136 l_t_maintab-amount2,    "Amount cat 2
                158 l_t_maintab-amount3,    "Amount cat 3
                180 l_t_maintab-amount4.    "Amount cat 4
        g_t_maintab-bukrs = l_t_maintab-bukrs.
        g_t_maintab-gjahr = l_t_maintab-gjahr.
        g_t_maintab-belnr = l_t_maintab-belnr.
    Hide values so that these can be used on line selection event.
        HIDE: g_t_maintab-bukrs, g_t_maintab-gjahr, g_t_maintab-belnr.
    Calculate amounts for account summary.
        l_tpart_acc1    = l_tpart_acc1 + l_t_maintab-amount1.
        l_tpart_acc2    = l_tpart_acc2 + l_t_maintab-amount2.
        l_tpart_acc3    = l_tpart_acc3 + l_t_maintab-amount3.
        l_tpart_acc4    = l_tpart_acc4 + l_t_maintab-amount4.
        l_tpart_acc_bal = l_tpart_acc_bal + l_t_maintab-balamt.
    Calculate amounts for trading partner summary.
        l_tpart1 = l_tpart1 + l_t_maintab-amount1.
        l_tpart2 = l_tpart2 + l_t_maintab-amount2.
        l_tpart3 = l_tpart3 + l_t_maintab-amount3.
        l_tpart4 = l_tpart4 + l_t_maintab-amount4.
        l_tpart_bal = l_tpart_bal + l_t_maintab-balamt.
    *At end of one account type write summary for account type.
        AT END OF acctp.
          g_t_maintab = l_t_maintab.
          PERFORM f8100_write_acctype_summary
                  USING l_tpart_acc1 l_tpart_acc2 l_tpart_acc3 l_tpart_acc4
                        l_tpart_acc_bal l_t_maintab-acctp l_t_maintab-tpart
                        l_t_maintab-name1.
          CLEAR: l_tpart_acc1, l_tpart_acc2, l_tpart_acc3, l_tpart_acc4,
                 l_tpart_acc_bal.
        ENDAT.
    At end of trading pair, write trading partner summary.
        AT END OF tpart.
          g_t_maintab = l_t_maintab.
          PERFORM f8200_write_tradingpair_summar
                  USING l_tpart1 l_tpart2 l_tpart3 l_tpart4 l_tpart_bal
                        l_t_maintab-tpart l_t_maintab-name1.
          CLEAR: l_tpart1, l_tpart2, l_tpart3, l_tpart4, l_tpart_bal.
        ENDAT.
      ENDLOOP.
    ENDFORM.                    " f4000_write_detailed_rep
    *Eject
    *&      Form  f5000_write_summary_rep
          Subroutine to write summary report.
    FORM f5000_write_summary_rep.
    *Counters for trading partner
      DATA: l_count_tpart  TYPE i,     "Counter for trading pairs.
            l_count_tpart1 TYPE i,     "Trading partner in age cat 1
            l_count_tpart2 TYPE i,     "Trading partner in age cat 2
            l_count_tpart3 TYPE i,     "Trading partner in age cat 3
            l_count_tpart4 TYPE i.     "Trading partner in age cat 4
    Flag for trading partner count.
      DATA: l_flag_tpart1 TYPE c,     "Flag for Trading partner in age cat 1
            l_flag_tpart2 TYPE c,     "Flag for Trading partner in age cat 2
            l_flag_tpart3 TYPE c,     "Flag for Trading partner in age cat 3
            l_flag_tpart4 TYPE c.     "Flag for Trading partner in age cat 4
    Variables to store sum of all line items for a company code.
      DATA: l_comp_amt_bal TYPE dmbtr,
            l_comp_amt1    TYPE dmbtr,
            l_comp_amt2    TYPE dmbtr,
            l_comp_amt3    TYPE dmbtr,
            l_comp_amt4    TYPE dmbtr.
    Internal table to store sum of amounts for all the companies selected.
      DATA: BEGIN OF l_t_compall_amt OCCURS 0,
              waers   LIKE bsad-waers,              "Currency key
              balamt  TYPE dmbtr,                   "Total balance amount
              amount1 TYPE dmbtr,                   "Amount for category 1
              amount2 TYPE dmbtr,                   "Amount for category 2
              amount3 TYPE dmbtr,                   "Amount for category 3
              amount4 TYPE dmbtr,                   "Amount for category 4
            END OF l_t_compall_amt.
      DATA: l_tpart_amt_bal TYPE dmbtr,
            l_tpart_amt1    TYPE dmbtr,
            l_tpart_amt2    TYPE dmbtr,
            l_tpart_amt3    TYPE dmbtr,
            l_tpart_amt4    TYPE dmbtr.
      DATA l_currtxt(11).
      DATA l_t_maintab LIKE g_t_maintab.
    Prepare header texts for report header.
      CONCATENATE  p_adate4(2)  '/' p_adate6(2) '/' p_adate+0(4) INTO
                   g_headertext2.
      CONCATENATE text-t04 p_glacc-low text-h06 p_glacc-high
                  INTO g_headertext1 SEPARATED BY space.
      CONCATENATE text-t03 g_headertext2 INTO g_headertext2 SEPARATED BY
                  space.
      SET TITLEBAR 'SUMMARY_REPORT'.
      SORT g_t_maintab BY bukrs tpart acctp.
    DESCRIBE TABLE g_t_maintab LINES l_count_tpart. "***
      FORMAT INTENSIFIED OFF.
      CLEAR: l_flag_tpart1, l_flag_tpart2, l_flag_tpart3, l_flag_tpart4.
      CLEAR: l_tpart_amt_bal,
             l_tpart_amt1,
             l_tpart_amt2,
             l_tpart_amt3,
             l_tpart_amt4.
      CLEAR: l_comp_amt_bal,
             l_comp_amt1,
             l_comp_amt2,
             l_comp_amt3,
             l_comp_amt4.
    Write summary report.
      LOOP AT g_t_maintab.
        l_t_maintab = g_t_maintab.
    Maintain open items count
        g_open_items = g_open_items + 1.
        IF l_t_maintab-amount1 <> 0.
          g_open_items1 = g_open_items1 + 1.
        ELSEIF l_t_maintab-amount2 <> 0.
          g_open_items2 = g_open_items2 + 1.
        ELSEIF l_t_maintab-amount3 <> 0.
          g_open_items3 = g_open_items3 + 1.
        ELSEIF l_t_maintab-amount4 <> 0.
          g_open_items4 = g_open_items4 + 1.
        ENDIF.
    *Calculate amounts for trading partners and maintain trading partner
    *count.
        l_tpart_amt_bal = l_tpart_amt_bal + l_t_maintab-balamt.
        IF g_t_maintab-amount1 <> 0.
          l_tpart_amt1    = l_tpart_amt1    + l_t_maintab-amount1.
    Increase count according to flag.
          IF l_flag_tpart1 IS INITIAL.
            l_count_tpart1 = l_count_tpart1 + 1.
            l_flag_tpart1 = 'X'.
          ENDIF.
        ELSEIF g_t_maintab-amount2 <> 0.
          l_tpart_amt2    = l_tpart_amt2    + l_t_maintab-amount2.
    Increase count according to flag.
          IF l_flag_tpart2 IS INITIAL.
            l_count_tpart2 = l_count_tpart2 + 1.
            l_flag_tpart2 = 'X'.
          ENDIF.
        ELSEIF g_t_maintab-amount3 <> 0.
          l_tpart_amt3    = l_tpart_amt3    + l_t_maintab-amount3.
    Increase count according to flag.
          IF l_flag_tpart3 IS INITIAL.
            l_count_tpart3 = l_count_tpart3 + 1.
            l_flag_tpart3 = 'X'.
          ENDIF.
        ELSEIF g_t_maintab-amount4 <> 0.
          l_tpart_amt4    = l_tpart_amt4    + l_t_maintab-amount4.
    Increase count according to flag.
          IF l_flag_tpart4 IS INITIAL.
            l_count_tpart4 = l_count_tpart4 + 1.
            l_flag_tpart4 = 'X'.
          ENDIF.
        ENDIF.                                     "g_t_maintab-amount1 <> 0
    Calculate total of amount for all companies
    Separate totals into different rows for different local currency.
        IF p_local = 'X'.
          READ TABLE l_t_compall_amt WITH KEY waers = l_t_maintab-waers.
        ELSE.
          READ TABLE l_t_compall_amt INDEX 1.
        ENDIF.
        IF sy-subrc = 0.
          l_t_compall_amt-balamt  = l_t_compall_amt-balamt  +
                                    l_t_maintab-balamt.
          l_t_compall_amt-amount1 = l_t_compall_amt-amount1  +
                                    l_t_maintab-amount1.
          l_t_compall_amt-amount2 = l_t_compall_amt-amount2  +
                                    l_t_maintab-amount2.
          l_t_compall_amt-amount3 = l_t_compall_amt-amount3  +
                                    l_t_maintab-amount3.
          l_t_compall_amt-amount4 = l_t_compall_amt-amount4  +
                                    l_t_maintab-amount4.
          MODIFY l_t_compall_amt FROM l_t_compall_amt INDEX sy-tabix.
        ELSE.
          MOVE-CORRESPONDING l_t_maintab TO l_t_compall_amt.
          IF NOT p_local = 'X'.
            MOVE 'GRP' TO l_t_maintab-waers.
          ENDIF.
          APPEND l_t_compall_amt.
        ENDIF.
    Calculate total amount for current company.
        l_comp_amt_bal = l_comp_amt_bal + l_t_maintab-balamt.
        l_comp_amt1    = l_comp_amt1    + l_t_maintab-amount1.
        l_comp_amt2    = l_comp_amt2    + l_t_maintab-amount2.
        l_comp_amt3    = l_comp_amt3    + l_t_maintab-amount3.
        l_comp_amt4    = l_comp_amt4    + l_t_maintab-amount4.
        IF p_local = 'X'.
          CONCATENATE text-h04 l_t_maintab-waers
                      INTO l_currtxt SEPARATED BY space.
        ELSE.
          MOVE text-h05 TO l_currtxt.
        ENDIF.
    Write subtotal for each trading partner.
        AT END OF tpart.
          l_count_tpart = l_count_tpart + 1.
    Write the summary lines
          WRITE:/2    l_t_maintab-bukrs,
                 10   l_t_maintab-tpart,
                 42   l_tpart_amt_bal,
                 64   l_currtxt,
                 87   l_tpart_amt1,
                 109  l_tpart_amt2,
                 131  l_tpart_amt3,
                 153  l_tpart_amt4.
          CLEAR: l_tpart_amt_bal,
                 l_tpart_amt1,
                 l_tpart_amt2,
                 l_tpart_amt3,
                 l_tpart_amt4.
          CLEAR: l_flag_tpart1, l_flag_tpart2, l_flag_tpart3, l_flag_tpart4.
        ENDAT.
    Write subtotal for each company code.
        AT END OF bukrs.
          PERFORM f8300_write_comp_summ USING l_comp_amt_bal
                                              l_comp_amt1
                                              l_comp_amt2
                                              l_comp_amt3
                                              l_comp_amt4
                                              l_t_maintab-bukrs
                                              l_t_maintab-butxt
                                              l_t_maintab-waers.
          CLEAR: l_comp_amt_bal,
                 l_comp_amt1,
                 l_comp_amt2,
                 l_comp_amt3,
                 l_comp_amt4.
        ENDAT.
      ENDLOOP.
     

  • Regarding Customer ageing report logic in R/3.

    Dear
    Experts
    i  have requirement to develop customer ageing  report logic for input 30,60,90,180,360
    i  don' t have any idea hw can i take these values  in input& hw can i caluclate the   values
    i  searched in  sdn, i did n't get any  suitable answer..
    Regards
    Spandana

    Hello,
    Go to transaction code FDI4
    Select Form Type RFFRRD20 Line item analysis
    Give your form name and description
    Structure (Two axis) - as defaulted
    Click on Create
    You will have lead column
    Delete the rows 2, 3 and 4
    Double click on column 1
    Enter the customer numbers from 1 to 999999
    First column double click  (A)
    Slelect following values
    Due date analysis 1
    Days for net due date 0 to 30
    Give the short name, medium name and long text for the column.
    Repeat this step in next columns like 31 to 60, 61 to 90, 91 to 120 and 121 to 99999 days etc in other columns and select due date analysis 1. (B,C,D,E)
    Create one more column by way of formula. To create a new column you need to double click on blue line. Put formula add all five columns you have created above. (F = ABCDE)
    You prepare one more column with
    Due date analysis 2 (G)
    Now you prepare one more column add (F+G) = This will be total open items = over due and not due.
    Now go to FDI1 and prepare a report - assign the form created in FDI4 to the report.
    Characteristics you need to select are
    Account Type (Select Account Type as D for customers)
    Currency
    Customer
    Document Type
    Special G/L Ind
    Company Code
    Change the output types and options according to your requirement.
    Refer FDI2 and FDI3 for other standard reports created.
    Refer FDI5 and FDI6 for other standard forms created.
    Save your report and execute.
    Regards,
    Ravi

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