Customer/Vendor/ GL Totals........

Hi,
Kindly guide me from which table i can get balance as of date of customer/ vendor / Gl.
I am getting only total open items from BSIS/ BSID/ BSIK table, but client requirement is Balance as of date or given date.
Regards,
Venkat

Hi,
I hope you are using ECC.
We can have a work around.
For e.g. we can find out the balances of GL accounts period wise for Debit and Credit Balances separately from Table FAGLFLEXT.
Like wise for customer it is KNC1.
And for Vendors it is LFC1.
After this you can find out the difference between these two entries to arrive at the balance per period.
Hope this info is of some use to you.
Appreciate if you can award points if found useful.
Regards,
Venkat

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  • Intercompany FI customer/vendor invoice clearing F-32

    Hello,
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    Hi,
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    Andrew

    Hi
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  • Error while uploading .xml file for Customer/Vendor List for Italy

    Hi All,
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    Ok, we upload .SAR file in this way:
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  • Custom vendor,freight vendor in case of import purchase order

    Hi all,
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        You entered an invoice for delivery costs.
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    cedure
    Check your entries and make any necessary corrections.
    If you want to allow delivery costs with different invoicing parties to
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    regards,
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    Import Vendor return is like re export from business point of view.
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    Do production goods receipt,it willl bring stock to parent material.
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    Adopt export sales process,create a sales order,delivery,billing,invoice,excise invoice,ARE1.
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    I also asked same question in forum, refer link for solution [ Import material - Vendor returned(Indian scenario)  |Import material - Vendor returned(Indian scenario);

  • Customer/vendor could not be determined for intermediate document

    does any one know how to solve this problem, i got this error for an inbound idoc 820 (remmitance advice).

    Hi rob,
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    This is the following message:
    Customer/vendor could not be determined for intermediate document 0000000000047039
    Message no. FD017
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    Several procedures are defined for determining the partner (customer or vendor):
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    2. The customer/vendor can send his/her account number (our number at
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    Create the customer or vendor within Financial Accounting or maintain his/her bank details.
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    Create vendor           - Proceed
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  • Customer/vendor could not be determined for IDOC

    Hi all,
    Am trying to post incoming payments through EDI ..
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    IDOC type: PEXR2002
    Message type: REMADV
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    Process code: REMA
    Am getting these 2 errors :
    Customer/vendor could not be determined for intermediate document
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    Thanks.

    Hi,
    Currently I am facing with the same type error when trying to post incoming payments through EDI.
    IDOC Information
    IDOC type: PEXR2002
    Message type: REMADV
    Function Module: IDOC_INPUT_REMADV
    Process code: REMA
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    I have maintained record records for partner type and partner number in OBCA.
    Please advice what are the other configuration changes do I need to maintain.
    Your assistance would be highly appreciated.
    Thanks.
    Edited by: Victor Collins on Feb 27, 2009 9:31 PM

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