Customer Open Items Document Details

I am building an application for a client for Purchase Card Processing using Visual Studio 2005. I am able to use VS 2003 to create the necessary object to get the Customer List, Customer Details, and the list of Customer Open Items.
I am totally new to SAP, and need some help to figure out my next steps.
1. What call(s) will return an Open Item (Document) given the Document Number, along with the individual line items. With that info I can post a Level 3 transaction and get an authorization code.
2. What is the process to post the purchase card authorization, essentially a payment, back to SAP for the open item.
3. What is the best source for reference details on BAPI?
Thanks in advance for any assistance.

Thanks for the response,  but I have already madie it that far...   " I am able to use VS 2003 to create the necessary object to get the Customer List, Customer Details, and the list of Customer Open Items.
with the list of open items,  I get a  Bill_Doc.   What calls will return the details of the Billing Document?

Similar Messages

  • Customer open item line wise details

    Hi ,
    I have customer open item for 240 days. Now he has made payment today for part amount only. I have cleared this amount against the outstanding amount. Now in FBL5N open item is only for balance amount. BUt when I  CHECK REPORT- S_ALR_87012178 days for the open item is between 31 to 60.
    How this dates are calculated.I have posted document today so it should either come from 1 to 30 day range or in 240 to 300 day range as balance is outstanding from that date.
    Help me to resolve the issue.

    Hai
    The duedate is calculated according to the baselinedate which u will maintain in terms of payment(OBB8).In terms of payment u will maintain baseline date as document date or posting date or none.mostly u would be selcted the duedate as document date thats why i  believe ur line item is showing in between 31-60 days.
    Regards
    Raghavendra.M
    SAP-Practice

  • EBS posting to clear customer open items - Function not working?

    Hello SAPers
    I have an issue I just canu2019t seem to resolve! We are receiving MT940 statements and receive customer invoice reference details with field: 86 as follows:
    :61:090910C1500,00FOSB1000270 //100909050      0        035315
    :86:DEPOSIT
    Remitter:1000270 MISSION AUSTRALIA   Ref:1200000017
    Immediately following the BTC FOSB the bank quotes the customer number however I am not using this as standard SAP should identify the customer by document number within the note to payee field?
    I am using a 2 step process in posting to the clearing account and customer. Config as follows:
    Pst Type 1
    40     Bank
    50     Clearing
    Pst type 2
    40     Clearing
    15     BLANK          DZ     3      15
    I have also set up a string to look for the documents ^(12########)$. When we load the statement the first posting is successful however the second does not post to the customer or clear based on the invoice reference. I am using algorithm 020. The error that occurs is F5 102 Customer does not exist in company code xxxx. It actually does exist in the company code.
    I have loaded the EBS to the buffer and simulated the search on BELNR and it picks up the document?
    I am sure this is standard and a CMOD is not required on this type of functionality? What have I not done to allow posting to the customer based on document number or to post on account where it is not cleared?
    Any assistance on this issue is appreciated? Thanks in advance.

    Function Module for GL open Items
    how to clear customer open items by another  customer open item
    Function Module for GL Open Items
    Reward points..

  • Customer Open Items in FI

    Hi All,
       I have to make a report in FI, which should show the below given Customer open Invoice details for a given customer in selection screen.
    Invoice No | Invoice date |  Invoice Amount  |   Payment    |    Balance | Currency |
    1.  I have selected all open item details (BELNR, BUDAT, WRBTR, WAERS ) from BSID for the given customer.
    2. Selected the cleared items from BSAD for the above accounting documents..and updated the BSAD-WRBTR in payment column.
      When there is no payment made against a Invoice its coming up, but when there is partial/ full payment made as this is no more open item this invoice number not coming up in the report.. Hope I have explianed my problem clearly..
       Please suggest me how should I finish this report. Thanks in advances..its very urgent..
    Regards
    Jaker.

    Hi,
    See the attached report for the Customer AR's (Open Items) and write accrodingly.
    report zf_rept_debtor_ageing
           no standard page heading
           message-id fb
           line-count 65
           line-size 230.
    Purpose : This ABAP program will fetch the Account Receivables for
               a Customer for the given period and display the due days.
    tables: t001,       " Company Codes
            t005,       " Countries
            skb1,       " GL Master
            kna1.       " Customer Master
    Internal Tables
    Internal table for BSID (Open Items) data
    data: begin of it_bsid occurs 0,
            kunnr like bsid-kunnr,         " Customer Number
            gjahr like bsid-gjahr,         " Fiscal Year
            belnr like bsid-belnr,         " Acc.Document
            buzei like bsid-buzei,         " Item
            budat like bsid-budat,         " Posting Date
            shkzg like bsid-shkzg,         " Dr/Cr Indicator
            dmbtr like bsid-dmbtr,         " Amount(Local Curr)
            wrbtr like bsid-wrbtr,         " Amount(Doc Curr)
            dmbe2 like bsid-dmbe2,         " Amount(USD)
            waers like bsid-waers,         " Currency
            zterm like bsid-zterm,         " Payment Terms
            vbeln like bsid-vbeln,         " Billing Doc
            zfbdt like bsid-zfbdt,         " Baseline Date
            zbd1t like bsid-zbd1t,         " No of days
            hkont like bsid-hkont,         " GL Account
            name1 like kna1-name1,         " Customer Name
            land1 like kna1-land1,         " Country
          end of it_bsid.
    Internal table for BSAD (Closed Items) data
    data: begin of it_bsad occurs 0,
            kunnr like bsad-kunnr,         " Customer Number
            gjahr like bsad-gjahr,         " Fiscal Year
            belnr like bsad-belnr,         " Acc.Document
            buzei like bsad-buzei,         " Item
            budat like bsad-budat,         " Posting Date
            shkzg like bsad-shkzg,         " Dr/Cr Indicator
            dmbtr like bsad-dmbtr,         " Amount(Local Curr)
            wrbtr like bsid-wrbtr,         " Amount(Doc Curr)
            dmbe2 like bsad-dmbe2,         " Amount(USD)
            waers like bsad-waers,         " Currency
            zterm like bsid-zterm,         " Payment Terms
            vbeln like bsid-vbeln,         " Billing Doc
            zfbdt like bsid-zfbdt,         " Baseline Date
            zbd1t like bsid-zbd1t,         " No of days
            hkont like bsid-hkont,         " GL Account
            name1 like kna1-name1,         " Customer Name
            land1 like kna1-land1,         " Country
          end of it_bsad.
    Internal table for Report Output
    data: begin of it_report occurs 0,
            kunnr like bsid-kunnr,         " Customer Number
            belnr like bsid-belnr,         " Acc.Document
            name1 like kna1-name1,         " Customer Name
            land1 like kna1-land1,         " Country
            shkzg like bsid-shkzg,         " Dr/Cr Indicator
            budat like bsid-budat,         " Posting Date
            dmbtr like bsid-dmbtr,         " Amount(Local Curr)
            wrbtr like bsid-wrbtr,         " Amount(Doc Curr)
            dmbe2 like bsid-dmbe2,         " Amount(USD)
            waers like bsid-waers,         " Currency
            due_amnt like bsid-dmbtr,      " Amount(Over Due)
            d_amnt1  like bsid-dmbtr,      " Amount(0-30 Future Due)
            d_amnt2  like bsid-dmbtr,      " Amount(31-60 Future Due)
            d_amnt3  like bsid-dmbtr,      " Amount(61-90 Future Due)
            d_amnt4  like bsid-dmbtr,      " Amount(91-120 Future Due)
            d_amnt5  like bsid-dmbtr,      " Amount(more than 120)
            due_date like bsid-budat,      " Due date
            zterm    like bsid-zterm,      " Payment Terms
            vbeln    like bsid-vbeln,      " Billing Doc
          end of it_report.
           Declaration of Data and Variables
    data: v_days  type i,            " Difference days
          v_waers like t001-waers,   " Co.Code Currency
          v_sum1  like bsid-dmbtr,                              " Totals 1
          v_sum2  like bsid-dmbtr,                              " Totals 2
          v_sum3  like bsid-dmbtr,                              " Totals 3
          v_sum4  like bsid-dmbtr,                              " Totals 4
          v_sum5  like bsid-dmbtr,                              " Totals 5
          v_sum6  like bsid-dmbtr,                              " Totals 6
          v_sum7  like bsid-dmbtr,                              " Totals 7
          v_sum8  like bsid-dmbe2.                              " Totals 8
    Constants
    constants: c_doc_waers(3) value 'USD',
               c_mitkz type c value 'D'.
                       Selection Screen
    selection-screen : begin of block b1 with frame title text-001.
    parameters: p_bukrs like t001-bukrs obligatory.      " Company Code
    select-options:s_kunnr for kna1-kunnr,               " Customer Number
                   s_land1 for t005-land1,               " Country
                   s_hkont for skb1-saknr.               " G/L Account
    parameters: p_date  like sy-datum obligatory.        " Report Date
    selection-screen: end of block b1.
    selection-screen : begin of block b2 with frame title text-002.
    selection-screen begin of line.
    selection-screen comment 2(30) text-003 for field p_rb1.
    parameters: p_rb1 radiobutton group rb.
    selection-screen end of line.
    selection-screen begin of line.
    selection-screen comment 2(30) text-004 for field p_rb2.
    parameters: p_rb2 radiobutton group rb.
    selection-screen end of line.
    selection-screen: end of block b2.
    selection-screen : begin of block b4 with frame.
    selection-screen begin of line.
    selection-screen comment 2(29) text-038 for field p_chk1.
    parameters: p_chk1 as checkbox.
    selection-screen end of line.
    selection-screen: end of block b4.
    selection-screen : begin of block b3 with frame title text-030.
    selection-screen begin of line.
    selection-screen comment 2(30) text-031 for field p_rb3.
    parameters: p_rb3 radiobutton group rb1.
    selection-screen end of line.
    selection-screen begin of line.
    selection-screen comment 2(30) text-032 for field p_rb4.
    parameters: p_rb4 radiobutton group rb1.
    selection-screen end of line.
    selection-screen: end of block b3.
    *********Initialization**********************************************
    initialization.
    At Selection Screen
    at selection-screen.
    Checking for the input values of selection screen.
      perform screen_check.
    Top-Of-Page
    top-of-page.
      if p_rb3 = 'X'.
        if p_chk1 = 'X'.
    Write the Column Headings for detailed report(in Doc Currency)
          perform col_heading2.
        else.
    Write the Column Headings for detailed report
          perform col_heading.
        endif.
      else.
    Write the Column Headings for summary report
        perform col_heading1.
      endif.
    Start-Of-Selection
    start-of-selection.
    Get the Customer Open Items from BSID
      perform get_open_data.
    Get the Customer Closed Items from BSAD
      perform get_close_data.
    Get the data from BSID,BSAD and KNA1 into one int.table
      perform process_data.
    End-Of-Selection
    end-of-selection.
      if it_report[] is initial.
        write : 'No Documents found'(005).
      else.
        if p_rb3 = 'X'.
    Write the Detailed Report
          perform write_report.
        else.
    Write the Summary Report
          perform write_report1.
        endif.
      endif.
    At Line-Selection
    at line-selection.
    When double clicked on BELNR leave to transaction FB03
      perform line_sel.
    *&      Form  SCREEN_CHECK
    Checking for the input values of selection screen
    form screen_check.
    Validation of Company Code
      clear t001.
      if not p_bukrs is initial.
        select bukrs from t001 up to 1 rows
               into t001-bukrs
               where bukrs = p_bukrs.
        endselect.
        if sy-subrc ne 0.
          message e000 with 'Invalid Company Code'(006).
        endif.
      endif.
    Validation of Customer Number
      clear kna1.
      if not s_kunnr is initial.
        select kunnr from kna1 up to 1 rows
               into kna1-kunnr
               where kunnr in s_kunnr.
        endselect.
        if sy-subrc ne 0.
          message e000 with 'Invalid Customer Number'(007).
        endif.
      endif.
    Validation of Country
      clear t005.
      if not s_land1 is initial.
        select land1 from t005 up to 1 rows
               into t005-land1
               where land1 in s_land1.
        endselect.
        if sy-subrc ne 0.
          message e000 with 'Invalid Country'(036).
        endif.
      endif.
    Validation of GL Account
      clear skb1.
      if not s_hkont is initial.
        select saknr from skb1 up to 1 rows
               into skb1-saknr
               where saknr in s_hkont and
                     mitkz = c_mitkz.
        endselect.
        if sy-subrc ne 0.
          message e000 with 'Invalid GL Reconciliation Account'(037).
        endif.
      endif.
    endform.                    " SCREEN_CHECK
    *&      Form  COL_HEADING
    Write the Column Headings for detailed report
    form col_heading.
      skip .
      write: /88 'DEBTOR AGEING REPORT AS AT:'(019) centered,
             116  p_date  centered, 198 sy-pagno.
      skip .
      write: /2 'CoCode:'(016),13(4) p_bukrs color 3.
      if not s_kunnr is initial.
        if not s_kunnr-high is initial.
          write: 20 'Customer:'(041),33 s_kunnr-low color 3,
                    '-', s_kunnr-high color 3.
        else.
          write: 20 'Customer:'(041),33 s_kunnr-low color 3.
        endif.
      endif.
      if not s_land1 is initial.
        if not s_land1-high is initial.
          write: /2 'Country:'(042),13(4) s_land1-low color 3,
                  '-', s_land1-high color 3.
        else.
          write: /2 'Country:'(042),13(4) s_land1-low color 3.
        endif.
        if not s_hkont is initial.
          if not s_hkont-high is initial.
            write: 20 'GL Account:'(043),33 s_hkont-low color 3,
                      '-', s_hkont-high color 3.
          else.
            write: 20 'GL Account:'(043),33 s_hkont-low color 3.
          endif.
        endif.
      else.
        if not s_hkont is initial.
          if not s_hkont-high is initial.
            write: /2 'GL Account:'(043),14 s_hkont-low color 3,
                      '-', s_hkont-high color 3.
          else.
            write: /2 'GL Account:'(043),14 s_hkont-low color 3.
          endif.
        endif.
      endif.
      write: 183 'Run Date:'(029), sy-datum.
      format color col_heading.
      write at /1(203) sy-uline .
      write: / sy-vline,  2(10) 'Customer'(008) centered,
            12 sy-vline, 13(30) 'Customer Name'(009),
            43 sy-vline, 44(3)  'Cty'(014) centered,
            47 sy-vline, 48(15) 'Amount'(013) right-justified,
            63 sy-vline, 64(4)  'Curr'(011) centered,
            68 sy-vline, 69(15) 'Overdue'(012) centered,
            84 sy-vline, 85(15) '0 - 30 Days'(010) centered,
           100 sy-vline,101(15) '31 - 60 Days'(028) centered,
           116 sy-vline,117(15) '61 - 90 Days'(021) centered,
           132 sy-vline,133(15) '91 - 120 Days'(022) centered,
           148 sy-vline,149(15) 'Above 120 Days'(023) centered,
           164 sy-vline,165(10) 'Due Date'(024) centered,
           175 sy-vline,176(5)  'PayT'(025) centered,
           181 sy-vline,182(10) 'Bill.Doc.'(026) centered,
           192 sy-vline,193(10) 'Doc.No.'(027) centered,
           203 sy-vline.
      write at /1(203) sy-uline.
      format color off.
    endform.                    " COL_HEADING
    *&      Form  COL_HEADING1
    Write the Column Headings for summary report
    form col_heading1.
      skip .
      write: /54 'DEBTOR AGEING REPORT (SUMMARY) AS AT:'(033) centered,
              92  p_date  centered, 158 sy-pagno.
      skip .
      write: /2 'CoCode:'(016), 13(4) p_bukrs color 3.
      if not s_kunnr is initial.
        if not s_kunnr-high is initial.
          write: 20 'Customer:'(041),33 s_kunnr-low color 3,
                    '-', s_kunnr-high color 3.
        else.
          write: 20 'Customer:'(041),33 s_kunnr-low color 3.
        endif.
      endif.
      if not s_land1 is initial.
        if not s_land1-high is initial.
          write: /2 'Country:'(042),13(4) s_land1-low color 3,
                  '-', s_land1-high color 3.
        else.
          write: /2 'Country:'(042),13(4) s_land1-low color 3.
        endif.
        if not s_hkont is initial.
          if not s_hkont-high is initial.
            write: 20 'GL Account:'(043),33 s_hkont-low color 3,
                      '-', s_hkont-high color 3.
          else.
            write: 20 'GL Account:'(043),33 s_hkont-low color 3.
          endif.
        endif.
      else.
        if not s_hkont is initial.
          if not s_hkont-high is initial.
            write: /2 'GL Account:'(043),14 s_hkont-low color 3,
                      '-', s_hkont-high color 3.
          else.
            write: /2 'GL Account:'(043),14 s_hkont-low color 3.
          endif.
        endif.
      endif.
      write: 144 'Run Date:'(029), sy-datum.
      format color col_heading.
      write at /1(164) sy-uline .
      write: / sy-vline,  2(10) 'Customer'(008) centered,
            12 sy-vline, 13(30) 'Customer Name'(009),
            43 sy-vline, 44(3)  'Cty'(014) centered,
            47 sy-vline, 48(15) 'Amount'(013) right-justified,
            63 sy-vline, 64(4)  'Curr'(011) centered,
            68 sy-vline, 69(15) 'Overdue'(012) centered,
            84 sy-vline, 85(15) '0 - 30 Days'(010) centered,
           100 sy-vline,101(15) '31 - 60 Days'(028) centered,
           116 sy-vline,117(15) '61 - 90 Days'(021) centered,
           132 sy-vline,133(15) '91 - 120 Days'(022) centered,
           148 sy-vline,149(15) 'Above 120 Days'(023) centered,
           164 sy-vline.
      write at /1(164) sy-uline.
      format color off.
    endform.                    " COL_HEADING1
    *&      Form  COL_HEADING2
    Write the Column Headings for summary report(in Doc Curr)
    form col_heading2.
      skip .
      write: /99 'DEBTOR AGEING REPORT AS AT:'(019) centered,
             127  p_date  centered, 220 sy-pagno.
      skip .
      write: /2 'CoCode:'(016),13(4) p_bukrs color 3.
      if not s_kunnr is initial.
        if not s_kunnr-high is initial.
          write: 20 'Customer:'(041),33 s_kunnr-low color 3,
                    '-', s_kunnr-high color 3.
        else.
          write: 20 'Customer:'(041),33 s_kunnr-low color 3.
        endif.
      endif.
      if not s_land1 is initial.
        if not s_land1-high is initial.
          write: /2 'Country:'(042),13(4) s_land1-low color 3,
                  '-', s_land1-high color 3.
        else.
          write: /2 'Country:'(042),13(4) s_land1-low color 3.
        endif.
        if not s_hkont is initial.
          if not s_hkont-high is initial.
            write: 20 'GL Account:'(043),33 s_hkont-low color 3,
                      '-', s_hkont-high color 3.
          else.
            write: 20 'GL Account:'(043),33 s_hkont-low color 3.
          endif.
        endif.
      else.
        if not s_hkont is initial.
          if not s_hkont-high is initial.
            write: /2 'GL Account:'(043),14 s_hkont-low color 3,
                      '-', s_hkont-high color 3.
          else.
            write: /2 'GL Account:'(043),14 s_hkont-low color 3.
          endif.
        endif.
      endif.
      write: 204 'Run Date:'(029), sy-datum.
      format color col_heading.
      write at /1(225) sy-uline .
      write: / sy-vline,  2(10) 'Customer'(008) centered,
            12 sy-vline, 13(30) 'Customer Name'(009),
            43 sy-vline, 44(3)  'Cty'(014) centered,
            47 sy-vline, 48(15) 'Amount'(013) right-justified,
            63 sy-vline, 64(4)  'Curr'(011) centered,
            68 sy-vline, 69(15) 'Overdue'(012) centered,
            84 sy-vline, 85(15) '0 - 30 Days'(010) centered,
           100 sy-vline,101(15) '31 - 60 Days'(028) centered,
           116 sy-vline,117(15) '61 - 90 Days'(021) centered,
           132 sy-vline,133(15) '91 - 120 Days'(022) centered,
           148 sy-vline,149(15) 'Above 120 Days'(023) centered,
           164 sy-vline,165(10) 'Due Date'(024) centered,
           175 sy-vline,176(5)  'PayT'(025) centered,
           181 sy-vline,182(10) 'Bill.Doc.'(026) centered,
           192 sy-vline,193(10) 'Doc.No.'(027) centered,
           203 sy-vline,204(16) 'Amount(Doc.Curr)'(039),
           220 sy-vline,221(4)  'Curr'(040),
           225 sy-vline.
      write at /1(225) sy-uline.
      format color off.
    endform.                    " COL_HEADING2
    *&      Form  GET_OPEN_DATA
    Get the Customer Open Items from BSID
    form get_open_data.
      select a~kunnr          " Customer Number
             a~gjahr          " Fiscal Year
             a~belnr          " Acc.Document
             a~buzei          " Item
             a~budat          " Posting Date
             a~shkzg          " Dr/Cr Indicator
             a~dmbtr          " Amount(Local Curr)
             a~wrbtr          " Amount(Doc Curr)
             a~dmbe2          " Amount(USD)
             a~waers          " Currency
             a~zterm          " Payment Terms
             a~vbeln          " Billing Doc
             a~zfbdt          " Baseline Date
             a~zbd1t          " No of days
             a~hkont          " GL account
             b~name1          " Customer Name
             b~land1          " Country
         into table it_bsid
         from bsid as a join kna1 as b
         on akunnr = bkunnr
         where a~bukrs = p_bukrs  and
               a~kunnr in s_kunnr and
               a~hkont in s_hkont and
               b~land1 in s_land1 and
               a~budat le p_date.
      sort it_bsid by kunnr gjahr belnr buzei budat.
    endform.                    " GET_OPEN_DATA
    *&      Form  GET_CLOSE_DATA
    Get the Customer closed Items from BSID
    form get_close_data.
      select a~kunnr          " Customer Number
             a~gjahr          " Fiscal Year
             a~belnr          " Acc.Document
             a~buzei          " Item
             a~budat          " Posting Date
             a~shkzg          " Dr/Cr Indicator
             a~dmbtr          " Amount(Local Curr)
             a~wrbtr          " Amount(Doc Curr)
             a~dmbe2          " Amount(USD)
             a~waers          " Currency
             a~zterm          " Payment Terms
             a~vbeln          " Billing Doc
             a~zfbdt          " Baseline Date
             a~zbd1t          " No of days
             a~hkont          " GL account
             b~name1          " Customer Name
             b~land1          " Country
        into table it_bsad
        from bsad as a join kna1 as b
        on akunnr = bkunnr
        where a~bukrs = p_bukrs  and
              a~kunnr in s_kunnr and
              a~hkont in s_hkont and
              b~land1 in s_land1 and
              a~augdt > p_date   and
              a~budat le p_date.
      sort it_bsad by kunnr gjahr belnr buzei budat.
    endform.                    " GET_CLOSE_DATA
    *&      Form  PROCESS_DATA
    Get the data from BSID,BSAD and KNA1 into one int.table
    form process_data.
    *Move the data from BSID to final output int table
      loop at it_bsid.
        move-corresponding it_bsid to it_report.
        it_report-due_date = it_bsid-zfbdt + it_bsid-zbd1t.
        append it_report.
        clear it_report.
      endloop.
    *Move the data from BSAD to final output int table
      loop at it_bsad.
        move-corresponding it_bsad to it_report.
        it_report-due_date = it_bsad-zfbdt + it_bsad-zbd1t.
        append it_report.
        clear it_report.
      endloop.
      sort it_report by kunnr belnr.
      loop at it_report.
        if it_report-shkzg = 'H'.    " Credit
          it_report-dmbtr = it_report-dmbtr * -1.
          it_report-dmbe2 = it_report-dmbe2 * -1.
        endif.
        v_days = it_report-due_date - p_date.
    For Company Code Currency
        if p_rb1 = 'X'.
          if v_days le 0.
            it_report-due_amnt = it_report-dmbtr.
          elseif v_days between 1 and 30.
            it_report-d_amnt1 = it_report-dmbtr.
          elseif v_days between 31 and 60.
            it_report-d_amnt2 = it_report-dmbtr.
          elseif v_days between 61 and 90.
            it_report-d_amnt3 = it_report-dmbtr.
          elseif v_days between 91 and 120.
            it_report-d_amnt4 = it_report-dmbtr.
          elseif v_days > 120.
            it_report-d_amnt5 = it_report-dmbtr.
          endif.
    For Group Currency
        else.
          if v_days le 0.
            it_report-due_amnt = it_report-dmbe2.
          elseif v_days between 1 and 30.
            it_report-d_amnt1 = it_report-dmbe2.
          elseif v_days between 31 and 60.
            it_report-d_amnt2 = it_report-dmbe2.
          elseif v_days between 61 and 90.
            it_report-d_amnt3 = it_report-dmbe2.
          elseif v_days between 91 and 120.
            it_report-d_amnt4 = it_report-dmbe2.
          elseif v_days > 120.
            it_report-d_amnt5 = it_report-dmbe2.
          endif.
        endif.
        modify it_report index sy-tabix.
      endloop.
    endform.                    " PROCESS_DATA
    *&      Form  WRITE_REPORT
    Write the Detailed Report Output
    form write_report.
      clear: v_sum1,v_sum2,v_sum3,v_sum4,v_waers,
             v_sum5,v_sum6,v_sum7,v_sum8.
      loop at it_report.
       at new kunnr.
          read table it_report index sy-tabix.
          write: / sy-vline,  2(10) it_report-kunnr,
                12 sy-vline, 13(30) it_report-name1,
                43 sy-vline, 44(3)  it_report-land1,
                47 sy-vline.
       endat.
        if p_rb1 = 'X'.
          select single waers from t001
               into v_waers where bukrs = p_bukrs.
          write:   1 sy-vline, 12 sy-vline,
                  43 sy-vline,
                  47 sy-vline,
                  48(15) it_report-dmbtr currency it_report-waers,
                  63 sy-vline, 64(4) v_waers,
                  68 sy-vline.
        else.
          write:   1 sy-vline, 12 sy-vline,
                  43 sy-vline,
                  47 sy-vline,
                  48(15) it_report-dmbe2 currency it_report-waers,
                  63 sy-vline,64(4) c_doc_waers,
                  68 sy-vline.
        endif.
        write:  69(15) it_report-due_amnt currency it_report-waers,
                84 sy-vline,
                85(15) it_report-d_amnt1 currency it_report-waers,
               100 sy-vline,
               101(15) it_report-d_amnt2 currency it_report-waers,
               116 sy-vline,
               117(15) it_report-d_amnt3 currency it_report-waers,
               132 sy-vline,
               133(15) it_report-d_amnt4 currency it_report-waers,
               148 sy-vline,
               149(15) it_report-d_amnt5 currency it_report-waers,
               164 sy-vline,165(10) it_report-due_date,
               175 sy-vline,176(5)  it_report-zterm,
               181 sy-vline,182(10) it_report-vbeln,
               192 sy-vline,193(10) it_report-belnr,
               203 sy-vline.
        if p_chk1 = 'X'.
          write: 204(16) it_report-wrbtr currency it_report-waers,
               220 sy-vline, 221(4) it_report-waers,
               225 sy-vline.
        endif.
       new-line.
    Totals for end of each Customer
        at end of kunnr.
          if p_chk1 = 'X'.
            write at /1(225) sy-uline.
          else.
            write at /1(203) sy-uline.
          endif.
          sum.
          format color 4.
          if p_rb1 = 'X'.
            write: /1 sy-vline, 2 'Total:'(015),
                 12 sy-vline,
                 13(10) it_report-kunnr,
                 43 sy-vline,47 sy-vline,
                 48(15) it_report-dmbtr currency it_report-waers,
                 63 sy-vline, 64(3) v_waers,
                 68 sy-vline,
                 69(15) it_report-due_amnt currency it_report-waers,
                 84 sy-vline,
                 85(15) it_report-d_amnt1 currency it_report-waers,
                100 sy-vline,
                101(15) it_report-d_amnt2 currency it_report-waers,
                116 sy-vline,
                117(15) it_report-d_amnt3 currency it_report-waers,
                132 sy-vline,
                133(15) it_report-d_amnt4 currency it_report-waers,
                148 sy-vline,
                149(15) it_report-d_amnt5 currency it_report-waers,
                164 sy-vline, 175 sy-vline,
                181 sy-vline, 192 sy-vline,
                203 sy-vline.
            if p_chk1 = 'X'.
              write: 220 sy-vline, 225 sy-vline.
            endif.
          else.
            write: /1 sy-vline, 2 'Total:'(015),
                   12 sy-vline,
                 13(10) it_report-kunnr,
                 43 sy-vline,
                 47 sy-vline,
                 48(15) it_report-dmbe2 currency it_report-waers,
                 63 sy-vline, 64(3) c_doc_waers,
                 68 sy-vline,
                 69(15) it_report-due_amnt currency it_report-waers,
                 84 sy-vline,
                 85(15) it_report-d_amnt1 currency it_report-waers,
                100 sy-vline,
                101(15) it_report-d_amnt2 currency it_report-waers,
                116 sy-vline,
                117(15) it_report-d_amnt3 currency it_report-waers,
                132 sy-vline,
                133(15) it_report-d_amnt4 currency it_report-waers,
                148 sy-vline,
                149(15) it_report-d_amnt5 currency it_report-waers,
                164 sy-vline, 175 sy-vline,
                181 sy-vline, 192 sy-vline,
                203 sy-vline.
            if p_chk1 = 'X'.
              write: 220 sy-vline, 225 sy-vline.
            endif.
          endif.
          format color off.
          if p_chk1 = 'X'.
            write at /1(225) sy-uline.
          else.
            write at /1(203) sy-uline.
          endif.
        endat.
        v_sum1 = v_sum1 + it_report-dmbtr.
        v_sum2 = v_sum2 + it_report-due_amnt.
        v_sum3 = v_sum3 + it_report-d_amnt1.
        v_sum4 = v_sum4 + it_report-d_amnt2.
        v_sum5 = v_sum5 + it_report-d_amnt3.
        v_sum6 = v_sum6 + it_report-d_amnt4.
        v_sum7 = v_sum7 + it_report-d_amnt5.
        v_sum8 = v_sum8 + it_report-dmbe2.
    Hiding the Acc doc no for interactic screen.
        hide it_report-belnr.
        hide it_report-budat.
        clear:it_report-belnr, it_report-budat.
      endloop.
    Grand Totals for all customers
      format color 3.
      write: /1 sy-vline, 2 'Gr.Total'(034),
                 12 sy-vline,13 'As At:'(035),p_date,
                 43 sy-vline,
                 47 sy-vline.
    For Company Code Currency
      if p_rb1 = 'X'.
        write:  48(15) v_sum1 currency it_report-waers,
                63 sy-vline, 64(4) v_waers,
                68 sy-vline.
    For Group Currency (USD)
      else.
        write:   48(15) v_sum8 currency it_report-waers,
                 63 sy-vline, 64(3) c_doc_waers,
                 68 sy-vline.
      endif.
      write:     69(15) v_sum2 currency it_report-waers,
                 84 sy-vline,
                 85(15) v_sum3 currency it_report-waers,
                100 sy-vline,
                101(15) v_sum4 currency it_report-waers,
                116 sy-vline,
                117(15) v_sum5 currency it_report-waers,
                132 sy-vline,
                133(15) v_sum6 currency it_report-waers,
                148 sy-vline,
                149(15) v_sum7 currency it_report-waers,
                164 sy-vline, 175 sy-vline,
                181 sy-vline, 192 sy-vline,
                203 sy-vline.
      if p_chk1 = 'X'.
        write: 220 sy-vline, 225 sy-vline.
      endif.
      format color off.
      if p_chk1 = 'X'.
        write at /1(225) sy-uline.
      else.
        write at /1(203) sy-uline.
      endif.
    endform.                    " WRITE_REPORT
    *&      Form  WRITE_REPORT1
    Write the Summary Report Output
    form write_report1.
      clear: v_sum1,v_sum2,v_sum3,v_sum4,v_waers,
             v_sum5,v_sum6,v_sum7,v_sum8.
      loop at it_report.
        at new kunnr.
          read table it_report index sy-tabix.
          write: / sy-vline,  2(10) it_report-kunnr,
                12 sy-vline, 13(30) it_report-name1,
                43 sy-vline, 44(3)  it_report-land1,
                47 sy-vline.
        endat.
        at end of kunnr.
          sum.
          if p_rb1 = 'X'.
            select single waers from t001
              into v_waers where bukrs = p_bukrs.
            write: 1 sy-vline, 12 sy-vline,
                 43 sy-vline,  47 sy-vline,
                 48(15) it_report-dmbtr currency it_report-waers,
                 63 sy-vline, 64(4) v_waers,
                 68 sy-vline,
                 69(15) it_report-due_amnt currency it_report-waers,
                 84 sy-vline,
                 85(15) it_report-d_amnt1 currency it_report-waers,
                100 sy-vline,
                101(15) it_report-d_amnt2 currency it_report-waers,
                116 sy-vline,
                117(15) it_report-d_amnt3 currency it_report-waers,
                132 sy-vline,
                133(15) it_report-d_amnt4 currency it_report-waers,
                148 sy-vline,
                149(15) it_report-d_amnt5 currency it_report-waers,
                164 sy-vline.
          else.
            write: 1 sy-vline, 12 sy-vline,
                 43 sy-vline,  47 sy-vline,
                 48(15) it_report-dmbe2 currency it_report-waers,
                 63 sy-vline, 64(4) c_doc_waers,
                 68 sy-vline,
                 69(15) it_report-due_amnt currency it_report-waers,
                 84 sy-vline,
                 85(15) it_report-d_amnt1 currency it_report-waers,
                100 sy-vline,
                101(15) it_report-d_amnt2 currency it_report-waers,
                116 sy-vline,
                117(15) it_report-d_amnt3 currency it_report-waers,
                132 sy-vline,
                133(15) it_report-d_amnt4 currency it_report-waers,
                148 sy-vline,
                149(15) it_report-d_amnt5 currency it_report-waers,
                164 sy-vline.
          endif.
          write at /1(164) sy-uline.
        endat.
    Totals
        v_sum1 = v_sum1 + it_report-dmbtr.
        v_sum2 = v_sum2 + it_report-due_amnt.
        v_sum3 = v_sum3 + it_report-d_amnt1.
        v_sum4 = v_sum4 + it_report-d_amnt2.
        v_sum5 = v_sum5 + it_report-d_amnt3.
        v_sum6 = v_sum6 + it_report-d_amnt4.
        v_sum7 = v_sum7 + it_report-d_amnt5.
        v_sum8 = v_sum8 + it_report-dmbe2.
    Hiding the Acc doc no for interactic screen.
        hide it_report-belnr.
        hide it_report-budat.
        clear: it_report-belnr,
               it_report-budat.
      endloop.
    Calculation of Grand Totals
      format color 3.
      write: /1 sy-vline, 2 'Gr.Total'(034),
                 12 sy-vline,13 'As At:'(035),p_date,
                 43 sy-vline,
                 47 sy-vline.
    For Company Code Currency
      if p_rb1 = 'X'.
        write:  48(15) v_sum1 currency it_report-waers,
                63 sy-vline, 64(4) v_waers,
                68 sy-vline.
    For Group Currency (USD)
      else.
        write:   48(15) v_sum8 currency it_report-waers,
                 63 sy-vline, 64(3) c_doc_waers,
                 68 sy-vline.
      endif.
      write:     69(15) v_sum2 currency it_report-waers,
                 84 sy-vline,
                 85(15) v_sum3 currency it_report-waers,
                100 sy-vline,
                101(15) v_sum4 currency it_report-waers,
                116 sy-vline,
                117(15) v_sum5 currency it_report-waers,
                132 sy-vline,
                133(15) v_sum6 currency it_report-waers,
                148 sy-vline,
                149(15) v_sum7 currency it_report-waers,
                164 sy-vline.
      format color off.
      write at /1(164) sy-uline.
    endform.                    " WRITE_REPORT1
    *&      Form  LINE_SEL
    When double clicked on BELNR leave to transaction FB03
    form line_sel.
      data: lv_field(20),
            lv_value(10),
            lv_date(10),
            lv_gjahr like bsad-gjahr.
      get cursor field lv_field value lv_value.
      if lv_field = 'IT_REPORT-BELNR'.
        if not lv_value is initial.
          read current line field value it_report-budat into lv_date.
          lv_gjahr = lv_date+6(4).
          set parameter id 'BUK' field p_bukrs.
          set parameter id 'GJR' field lv_gjahr.
          set parameter id 'BLN' field lv_value.
          call transaction 'FB03' and skip first screen.
        endif.
      endif.
    endform.                    " LINE_SEL
    Regards,
    Anji

  • Customer open items table

    hi all,
    what is the table for customer open items?
    thanks,
    Viren.

    Hi,
    All the Customer Open items are stored in BSID table.
    When those open items gets cleared then they are moved to BSAD table. Also corresponeding entries goes to table BKPF & BSEG with all the accounting document details.
    Also for GL & Vendor Open items are in BSIS & BSIK respectively and GL & Vendor Cleared items are in BSAS & BSAK respectively.

  • FI/CO : customer open items

    Hi all,
    Can you provide me with some <i><b>documents</b></i> regarding <u><b>Customer open items</b></u> and the transactions related to it .
    I need some functional details on the same.
    Also if could tell me the procedure to create an open item and post it with transaction F-51.
    Thank you,

    Take a look at :
    <a href="http://help.sap.com/printdocu/core/Print46c/en/data/pdf/FIGLIS/FIGLIS.pdf">Financial Information System (FI)</a>
    <a href="http://help.sap.com/printdocu/core/Print46c/en/data/pdf/FIARCR/FIARCR.pdf">FI/SD - Credit Management/Risk Management</a>
    Maybe ask your question at SAP ERP Financials
    Regards

  • Clearing customer open items

    Hello!
    Can anybody help to find a way how to clear customer open items when there is no reference number in use for customer. In electronic bank statemen there is only billing document number in TXT field. How to configure "Make Global Settings for Electronic Bank Statement" and "Define Search String for Electronic Bank Statement" for that purpose.
    With all the best,
    Merlin

    Hello,
    IMG => Financial Accounting => Bank Accounting => Business Transactions => Payment Transactions => Electronic Bank Statement => Make Global Settings for Electronic Bank Statement
    Give your chart of Accounts
    1. Create your account symbols
    Create freely definable account symbols. Make sure that you are able to identify them when you are configuring in future steps.
    2. Assigning Accounts to Account Symbols
    Here you need to assign the account symbols to GL Accounts or you need to use masking logic. You must have designed your accounts in such a way that the end digits will work for posting the entries to FI. Account Modifier you use as + and use your local currency, if you do not have any foreign currency postings.
    3. Create Posting Rules
    Create freely definable posting rules.
    4. Define Posting Rules (This is the most important configuration for your FI Postings / Clearings)
    a) For all the payments you need to create the entries for posting area 1
    b) For all the receipt you need to create the entries for posting area 1 and 2
    c) Use the document type DZ in case if you want to clear the items. Use Posting type 8. If the invoice number is there in the reference field of bank statement, automatically the same will be selected by the system and cleared.
    d) If you want just only entries to be posted use posting type 1.
    e) If you want to clear the check, then use the posting type 4.
    f) Configure according to the entries to be posted.
    g) If you are going for clearing something the offsetting debit / offsetting credit (as the case may be) need not be given.
    5. Create Transaction Type
    Create freely definable Transaction Type
    Select the transaction type and assign the external transactions to your posting rules.
    For outgoing check use 13 as Interpretation Algorithm and 1 as the processing type.
    Remaining all case use 1 (Standard algorithm) and 5 as the processing type.
    Please also go through the below mentioned note in case if you are required to use further available interpretation algorithms or processing types.
    6. Assign Bank Accounts to Transaction Types:
    You need enter the Bank Key / Bank Account / Transaction type here.
    You can get the the bank key and bank account details from table T012K (Go to SE16)
    Further supplementary notes may be useful to you:
    There are different programs to upload electronic bank statement.
    FF.5 or FF_5.
    I think your case Multicash format you are using.
    You need have three files in FF.5 and two files in FF_5
    You can prepare a Z program in order to truncate the electronic bank statement into two or three part files and save them on the application server.
    1. Take all the external codes list from bank.
    2. Take any available documentation from the Bank describing the relevance of the external codes.
    3. Make sure that your Chart of Accounts (Bank Accounts) last digits logic is appropriate to meet the requirements.
    4. Based on this decide the Account Symbols that are required to be created.
    5. Make sure that the masking rules are configured properly.
    6. Decide the posting rules that needs to be created.
    7. Link up your external symbols provided by the bank with Posting rules and give proper algorithms for posting and clearing logic.
    6. Concentrate on the posting areas to be posted while uploading the bank statement.
    Further explanation would help you to understand the functionality when uploaded the electronic bank statement.
    Main purpose of uploading the bank statement into SAP is to make your Bank Main Account and physical bank statement balance in sync.
    You do not have any traditional Bank Reconciliation Statement (BRS) report in SAP.
    SAP is normally you maintain bank main account and bank sub account. Whenever you make a payment through F-53 or F-58 or F110, the entry would be:
    Vendor Account Dr
    To Bank Sub Account
    The ending digits of the sub-account would be important in configuring the masking rule. Based on this masking rule when you upload the bank statement the entry the system would pass is:
    Bank Sub Account Dr
    To Bank Main Account
    It depends on the configuration, either the sub account will be cleared by the system automatically or you need to run F.13 to clear the sub accounts.
    At the time of receipts, you have different accounting entries unlike payments. It needs to post to two posting areas. 1. GL Accounting 2. Sub-Ledger Accounting
    The entries would system itself pass is:
    Bank Main Account Dr
    To Bank Sub Account
    Bank Sub Account Dr
    To Cutomer account.
    Clearing logic mentioned for your posting rules and the alogrithm used for your external bank symbols will also play pivotal role in clearing the accounts.
    Ideally you will use
    FF67 / FF.5 / FF_5 for uploading manual or electronic bank statement
    FEBA / FEBA_BANK_STATEMENT is used for furthe rprocessing.
    GO THROUGH SAP NOTE 48854
    Please go through SAP Note. 48854. You will get an idea regarding the functionality of the algorithms.
    Though this note is in relevant to GB specific, you will find this very useful.
    description follows below regarding the normal procedure for maintaining table T028G. Due to the different bank codes and posting rules, pre-Customizing is not possible at this point.
    The following processing types are available - unless stated otherwise, you should use the interpretation algorithm: '000 - No interpretation' in each case.
    1. '00': There is no processing. The entry line is ignored.
    2. '01': A validation is made whether an entry exists for the transferred check number in the check table (PAYR). The check number and payment document number are transferred for further processing. Interpretation algorithm: outgoing check processing '011'-'013'; the update in the check file is via the interpretation algorithm.
    3. '02': Transfer of the ending balance to the electronic bank statement
    4. '03': Transfer of the opening balance to the electronic bank statement
    5. '04': Clearing via the allocation number which is delivered with the bank statement. No interpretation algorithm.
    6. '05': Clearing of BACS payments or BACS bank collection. The reference text field is first read to ascertain whether it involves payments initiated by users or bank collection via BACS. Providing it does involve a cash transaction initiated by the user, the payment document numbers concerned are determined via the reference number and transferred as a reference to further processing. Interpretation algorithm: '000 - No interpretation' or '019 - Reference number DME'.
    Note
    To differentiate between the two procedures in table T028G, you have to maintain two separate entries.
    Example: the bank uses bank code '62' for cash receipts and for BACS bank collection.
    Ext. Transaction +/- sign Posting rule Int. Algorithm Processing type 62 + GB62 001 5
    62 SAPBACS + GB63 000 5
    7. '06': Bank costs or interest revenues
    Recommended interpretation algorithm: '000 - No interpretation'
    8. '07': Total amount of cash disbursements
    9. '08': Total amount of cash receipts
    10. '09': Items not paid
    Recommended interpretation algorithm: '000 - No interpretation'
    Regards,
    Ravi

  • Trading Partner for open item document prior to BCS implementation

    Dear Experts,
    We have just introduced BCS in our company currently. One of the difficulties the user are facing is that the open item (many of them - thousand open item with different currencies and exhange rate) prior to the introduction of BCS does not contain Trading Partner. This ended up that the adjustment on the Trading Partner has to be done in BCS regularly. The amount in value of adjustment is not fixed - since there could be subsequent payment that will clear the open item.
    I understand that TP cannot be changed once posted. Have read a lot in the SAP portal and forum.
    Question: Based on your experience, it there a way that I can overcome this problem? Could SAP somehow allow TP to be assigned to open item document prior to implementation of BCS?
    I hope I can get some answer, otherwise, our user has to diligently continue to put the adjustment until all the open items are cleared.
    Thank you.
    Regards
    Fauzi

    hi,
    Check whether the document type you are using to post is allowed to enter the trading partner.
    To check use the TCODe OBA7  and select the relevent document type. then select the check box enter trading partner under control data.
    and also check the customer you assigned for that posting key 01 is got assigned trading partner in the master record or not(TCOD XD02/XD03).
    thanks.

  • EBS: Automatic clearing of customer open items

    Hi Experts,
    I am setting up the electronic bank statement with format MT940 structured with field 86.  As part of the scope, business is requesting to ensure that customer open items gets cleared automatically when the bank statement is uploaded through transaction FF.5.  Because bank statement contains entries relating to payments by customers into the bank account.
    But here the problem is that customers will provided ONLY the name.  They do NOT provide either the invoice reference number (XBLNR) or our accounting document number (BELNR).
    I have searched a lot and found out that I can use the BAdI FIEB_CHANGE_BS_DATA to get the SAP customer number from the customer name given in Notes to Payee fields of MT940.  Kindly correct me if I am mistaken.
    Now from the derived customer number, I need to find out the related open items which match with the amount given in MT940.  So, how does the system know which open items can be cleared for the given amount.  Because the paid amount (by the customer) can be for an individual invoice or for a couple of invoices together.  Do I need to use the enhancement user exit FEB00001 to specify the system to use fields "Distribute by age" and "Automatic search" field in transaction F-32 ?
    Or is there any other better way of achieving this objective of automatic clearing of open items.  Asking our customers to provide the invoice reference number is not an alternative since it has already been tried a lot for long without any result.  So, business has requested for the set up in our system to ease this process of automatic clearing of open items.
    Thanks you so much for your time to help me on this.  I will be waiting for your kind responses.
    Regards,
    Sridhar

    Hi Experts,
    I got this resolved by using the enhancement FEB00001.  If the field "Distribute by age" is activated through this enhancement, then system will be able to match the paid amount and the combination of open items for automatic clearing.  If there is no exact match, then automatic clearing through FF.5 is not possible as indicated in SAP Note 124655.
    There is no more necessity to use BAdI FIEB_CHANGE_BS_DATA.  Complete relevant logic can be maintained directly in the enhancement itself.
    Have a nice day.
    Regards,
    Sridhar

  • Customer Open Item clearing Line Layout

    Hi
    the user uses F-32 for customer open item clearing and the following are the fields are available in the line layout.
    Assignment, reference, Doc no, doc type,posting period, doc date, posting date,gross amt,  cash discount, cash Discount %.
    Along with above fields, our business user wants to view the "document header text"  in the line layout.
    How to bring the "Document Header text " in the clearing line layout.
    Pl advise,
    Venkat

    Hi,
    you follow these steps to display "Document Header text " in F-32 :
    <b>1-</b> go to : SPRO>Financial Accounting>AR & AP>Business transactions>Openm item clearing>Make settings for open item processing>Choose selection fields.
    2- select "D" as "account type"
    3- click on "insert after"
    4- enter SGTXT in the "field name"
    5- you will show "SGTXT" and "Text" in the list of fields, click on <b>save</b>
    6- then go to F-32 and go to Menu>settings>change line layout
    7- then go to Menu>Edit>Choose
    8- then click on "insert after" above
    9- in the list you will find "text" as field, so choose it
    10- Save that (check customer or/and vendor)
    11- then click Save and return to the table of F-32, you will find Text in the displaying fields
    hope this helps
    assign points if useful
    let me know
    regards

  • Customer Open Item Clearing F-28 / FBZ1

    Dear Friends,
    My query is regarding Customer Open Items Clearing using Transaction Codes F-28 / FBZ1.
    We are implementing SAP for Healthcare Industry with IS-H.. We are using ECC6 EHP5.
    Client submits insurance claims relating to patient revenue to the insurance companies and in turn receives remittance from insurance companies.
    The remittance file received from insurance company contains all the data that can be reconciled with the open items.
    Now, I want to know whether we can upload the details directly into the transaction f-28 / fbz1.
    Please suggest if i can do it in any other way.
    Thank you
    Sivaram

    Hi Atif,
    My requirement is :
    1) My client is into Healthcare.. For each patient with insurance cover we are debiting insurance company for the amount due towards his services provided by the client.
    2) on periodic basis client submits claim file to insurance company.
    3) insurance company does the remittance to the client and sends an xml file.
    4) This xml file contains individual patients records which are remitted by insurance company.
    5) I want to clear these open items.. Please let me know the best method of doing it..
    6) Is there any method of automating this process.
    Thanks
    Sivaram

  • Few queries about foreign revaluation for vendor/customer open items

    I am trying the transaction F.05 for the first time for vendor & customer open items in foreign currency. I have a few queries:-
    1. The ouput contains 2 exchange rates. One is picked from the transaction header. My query is from where is the other rate being picked up. In my current system, I could make out that exch rate in transaction header is being picked automatically from table OB08....however I am unable to deduce the source of the 2nd exch rate.
    2. What is the significance of "balance sheet preparation valuation". Earlier in test runs, only "new difference" was getting populated. However the user wanted to see "old diff" also. So while doing some trial run in test client, I checked the "bal sheet prep valu" and posted.....after this run, I am getting values in "old diffe" and "new diff" also. And the posted amount is the difference of the two. What is the significance and ideal way?
    3. Should the entry be reversed if I am revaluating at year end? Why I am asking is because in some threads I read that revaluation at year is not to be reversed....
    Thanks,
    SM

    1. To find out difference latest date(Key Date for OI Overview) will be taken by comparing with document posted dated. Based on that system shows diffrences
    2.   The items are valued using the exchange rate valid at the key date. The
          difference determined in local currency is output and posted. The
          valuation can also be done for parallel local currencies and according to
          different valuation approaches (HGB, GAAP).
          The result of the valuation is required for the creation of the financial
          statements. You should therefore carry out the valuation before the
          grouping of receivables and payables with program SAPF101. The valuation
          difference is then noted in the document. Use the valuation areas to
          calculate a different valuation method, or to save the result for further
          processing activities.
    3.   we need to reverse entries .

  • BAPI or FM or Class for Customer open items CLEAR (F-32)

    Hi Everyone,
    Is there any BAPI or FM to CLEAR customer open items (F-32).
    Thanks,
    NK

    Hi,
    For clearing open items you can use BAPI_ACC_DOCUMENT_POST.
    but need to write extra code in BTE
    check this function module SAMPLE_INTERFACE_RWBAPI01.
    need to update below four fields of table accit.
    REBZG (document no against u want to clear)
    REBZJ (fiscal year)
    REBZZ (line item)
    REBZT
    to update these field use BTE.
    Thanks,
    Avadhut.

  • Error while clearing Customer open items

    Hi,
    When I am trying to clear the Customer open items via F-30 I am getting following error -
    +Profit center 9000/SEA001 does not exist for 08.04.2011
        Message no. KM026
    Diagnosis
        The desired profit center SEA001 is not in the master data table for the specified date.
    Procedure
        Check your entry.
        Note: The profit center is usually derived from the original account assignment object (cost center, order, and so on) or other information (such as the material number).
        If necessary, create the desired profit center for the appropriate time
        frame.+
    First of all SEA001 is not a Profit Center. It's a material. Correct PC is attached to this material SEA001 and I also checked the validity period of the PC and it's OK.
    Can someone please advice how to nail down this issue?
    Thanks,
    Sanjay

    Found the reason.
    Actually there was a substitution to fill the PC from XREF3 for document splitting and SD module was passing the material in XREF3 hence the system was thowing the error.
    Gaurav - thanks for your input. Your reply pointed out towards substitution.
    Infact thanks everyone for the inputs.
    Regards,
    Sanjay

  • Customer Open Item clearing Line Layout (O7F4)

    Hi Dear ABAP experts,
    I am the FICO consultant and I got the below issue. I am trying my level best to solve this issue. But i need some help. So I am posting this issue in forum. Pl check this issue and give me ur valuable suggestion.
    the user uses F-32 for customer open item clearing and the following are the fields are available in the line layout.
    Assignment, reference, Doc no, doc type,posting period, doc date, posting date,gross amt, cash discount, cash Discount %.
    Along with above fields, our business user wants to view the "document header text" in the line layout.
    How to bring the "Document Header text " in the clearing line layout.
    Pl advise,
    Venkat

    Dear ABAPERS,
    I hope this time I will get the solution from you.
    The same messge i have put in SAP Financials and the conversation between he and melike below:
    He
    SPRO>Financial Accounting>AR & AP>Business transactions>Open item clearing>Make settings for open item processing
    Me
    Thanks for the response. SGTXT (line item text) is the field available at the line item level and we have already added in the line layout. What we are looking for is the field BKTXT (document header text) which is available at the document header level. We wish to include this field in the line layout.BKPF - Document Header text
    He
    It is not possible to add "BKTXT" in the list generated by SPRO (not existed).
    But if you post an invoice with FB70, in the header text, click F1 and after click F9, you will find SGTXT as field name knowing that is a document header text, so i think to show header text you choose only text in F-32.
    Me???????
    So pl provide the solution for above issue
    Rgds,
    Venkat

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