Data reconciliation for Open Orders in SD

Hi,
          Can any one give me a step by step approach for doing the data reconciliation for open orders in the Sales Infocube.
Regds
tanu

Hi Tanu,
Reconcilation:
Reconcilation is the process of comparing the data after it is transferred to the BW system with the source system. The procedure to do reconcilation is either you can check the data from the SE16 if the data is coming from a particular table only or if the datasource is any std datasource then the data is coming from the many tables in that scenario what I used to do ask the R/3 consultant to report on that particular selections and used to get the data in the excel sheet and then used to reconcile with the data in BW . If you are familiar with the reports of R/3 then you are good to go meaning you need not be dependant on the R/3 consultant ( its better to know which reports to run to check the data ).
I will give you a scenario to help you understand it better. Lets say BW extracts FI data from R/3. To make sure that all the records has been extracted from R/3 we can create a report in R/3 which will show the year-to-date balance of all the documents posted and we can create a BEx query on the BW cube which will also display the trial balnce. Any difference between the two balance will identify the records missing from R/3.
Similary you can model other scenarios as per your requirement. If you are extracting from 2 or more different sources from R/3 then create a multicube on top of the individual cube and produce the report. You need to also create a similar report in R/3 as well.
check this How to Doc:
https://www.sdn.sap.com/irj/servlet/prt/portal/prtroot/docs/library/uuid/7a5ee147-0501-0010-0a9d-f7abcba36b14
Hope this helps.
Regards,
Ravikanth

Similar Messages

  • Data reconciliation for Open Orders

    Hi,
         Can any one give me the step by step approach for data reconciliation for open orders in Sales Infocube. I understand that the Open Orders which are dynamic Key figures and the data reconciliation in this case is not straight forward using "Generic View data sources"  and we need to program our own generic data source with a funciton module. I would like to know if any one has dealt with this specific case and give me the proceudure to do the same.
    Regds
    tanu

    Hi
    Refer this
    Data Reconciliation
    You can compare periodic R/3 reports relevant to open orders with values in the cube and reports
    Regards
    N Ganesh

  • Report for open order and shipped qty  summary

    Dear Folks,
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    what are the related programs to it.
    throw some light on it.

    >
    arpita b wrote:
    > Dear rohit
    >    
    >     Iam asking about any report which compares or give details of open order vs shipped qty.
    >
    > Any sis report is available for this?
    Hi Arpita,
    There is no such sis report available. You will have to configure and create two seperate reports and do the comparison.
    If you want, I will send you the list of all T.codes used to generate reports in SD.
    Revert back to me if you need the same.
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  • Data migration for open PO & PR

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  • S_ALR_87012168 - Due Date Analysis for Open Items - How to add a column?

    Hello,
       I am trying to add a characteristic to the output of this report. I am trying to add the Reference field from BKPF to the list of available characteristics to choose from. It is available in the dynamic selections list so the field should be available in the program, I am just not sure how to get it onto the char. list.
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  • S_ALR_87012168 - Due Date Analysis for Open Items - Add Characteristics?

    Hello,
    I am trying to add a characteristic to the output of this report. I am trying to add the Reference field from BKPF to the list of available characteristics to choose from. It is available in the dynamic selections list so the field should be available in the program, I am just not sure how to get it onto the char. list.
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    Any help would be greatly appreciated!

    Try:
    Go to -> Line items
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    Rob

  • S_ALR_87012078 - Due Date Analysis for Open Items display changers

    Hi
    I need to change this reports( S_ALR_87012078 - Due Date Analysis for Open Items ) display type to column display. How can I do that. I thought of uesing GoTO> Colum display but it is inposible 'cos always they are in inactive mode even in the change mode. pls advice on this
    Thanx

    Hi
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  • Valuation class changes for open orders

    what are the reason SAP doesn't recommend to change the Valuation class for open orders or when the  material is in transit.

    Hi,
    System will not allow to change the Valuation classes of a Material in the Following cases:
    1. Material Stock should be zero. If any stock is there it wont allow to change vc.
    2. Material should not have any open Purchase Requisitions/ Purchase orders/ Reservations etc.
    So, If if you want to change the Valuation class Transfer allthe stock of the material to another plant and delete all the related Transactions.
    Reg,
    Ashok
    Assign points if useful.

  • Load FI data only for open items

    Hi all
    I want to load FI data only for open items.
    We started off with FI_GL_4 which has STATUSPS(status of FI line item)based on which we have written a start routine to filter out the closed items.
    But for other FI-GL datasources we dont have STATUSPS field.
    Then can we load data directly without applying any restriction on it as we dont have STATUSPS field in it?
    Or is there an other way to find all open items ?
    Please helpout.
    Awaiting replies.
    Harika.

    Hi Harikag,
    when you are loading delta data in 0FI_GL_4, it is NOT the right approach to load only the open items.
    Say for example, you have loaded a record with open status.
    If the status of the record gets changed to 'Closed' in SAP, then this will not flow to BW, because of the filter that you are trying to apply in the data load.
    So the item will continue to remain open in BW, though it is closed in R3.
    hence it is highly recommended to do this filtering at report level.
    Otherwise, you are looking at full load option by dropping data everyday, which will have performance issues in loading.
    Thanks,
    Krishnan

  • Function Module for data retrival for work order clearence (WCA)

    Hi All ,
      Function Module for data retrival for work order clearence (WCA) for a particular Planning plant and (WCD's).
    Thanks.

    Hi Anne,
    BAPI_PRODORD_GET_DETAIL
    BAPI_PRODORD_GET_LIST
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    These will serve your purpose.
    Cheerz.
    Ram

  • Data Migration for Open Purchase Order

    Hi, All,
    Is there anyone know how to Count the volume for Open Purchase Order. What's the normal strategy for the Data Migration and Cut-over stage?
    My client want to know how many Open Purchase Order in the legacy system and then determine manual or automatic data migration. If manual, how to do? If automatic, how to do? Because all materials and vendors, plants are different number. How to track? How to find out to match between new and old?
    Thank you very much

    JC,
    Sounds a bit early to be making decisions about the realization phase.  It doesn't sound like you have finished the Blueprinting phase yet, much less the testing phase.
    Anyhow, in my experience I typically use LSMW (Legacy system migration workbench) to load MM master data (material masters), Inventory (WIP, RM, FG, etc) Purchasing Master data (Vendors, Purchase Info Records, Source Lists, Quota Arrangements), and Purchasing transactional documents (POs, PurReqs, Scheduling Agreements, etc).  Depending on the complexity and volume of data, it  may be necessary to write custom programs to load the data.  You will find this out during your requirements gathering.
    It is uncommon but possible to load all of these data manually.  I have never run across a client that wants to pay a consultant's hourly rate to sit at a terminal to peck away loading master data, so if the client intends to have his own users enter the data manually, the project manager should make provision that there will be qualified TRAINED client employees available for this data entry.  I did help with a portion of a conversion once manually; of Sales Credits, but there were only about 30 SD docs to load.   I did this the evening before go-live day, while I was waiting for some of my LSMW projects to complete in the background.
    A good opportunity to 'practice' your data loads is right after you have completed your development and customization, and you have gotten the approval from the client to proceed from the pilot build to the full test environment.  Once you have moved your workbench and customization into the client's test environment, but before integration testing, you can mass load all, or a substantial portion of your conversion data into the qual system.  You can treat it like a dry run for go-live, and fine tune your processes, as well as your LSMW projects.
    Yes, it is good practice to generate comparisons between legacy and SAP even if the client doesn't ask for it. For Purchase orders on the SAP side, you could use any of the standard SAP Purchasing reports, such as ME2W, ME2M, ME2C, ME2L, ME2N.  If these reports do not meet the requirements of the client, you could write a query to display the loaded data, or have an ABAPer write a custom report.
    You didn't ask, but you should also do comparisons of ALL loaded data - including master data.
    It sounds like you are implying that the client wants YOU to extract the legacy data.  For an SAP consultant, this is not very realistic (unless the legacy system is another SAP system).  Most of us do not understand the workings of the myriad legacy systems.  The client is usually expected to produce one or more legacy system technical experts for you to liase with.  You normally negotiate with the technical expert about every facet of of the data migration.  In addition, you will liase with business users, who will help you and the implementation team to logically validate that the final solution (turnkey SAP production system, fully loaded with data) will meet the client's business needs.
    Finally, you mentioned how do you track the mapping of master data between legacy and SAP.  There are many ways to do this.  I normally try to get the legacy person do the conversion on his end, eg, when he gives you the load file, you would like to have already translated the master data and inserted the SAP relevant values into the file.  If this is not possible, I usually use MS Access databases to maintain a master map, and I perform the mapping on a PC.  If your data package is small, you can probably get by using MS Excel or similar.
    Good Luck,
    DB49

  • Data source for Open Sales Order Variances.

    Hi Friends,
               I would like to know if there is any content avaible to report on Open sales order variances at a Customer PO level , it would be really appreciated if someone can send ur feed back , I need this info quite urgent.
    Thanks alot to all ,

    Hi Rakesh,
    You have to check the tables in R3 and then compare with the Datasources in BW.
    For Examples
    VBAK table in R3 for Sales Order on BW-2LIS_11_VAITM
    VBRK table in R3 for Billing iin BW-2LS_13*
    Check for that day how many sales order were there in VBAK table and there in BW.
    Rgds
    SVU123
    Edited by: svu123 on Jun 21, 2011 8:19 PM

  • Does Simple Credit Limit Check Include Checking for Open Orders

    Hi all,
    I have this issue here where I have configured the system to use simple credit limit check with error message. I did not use the standard/common automatic credit limit check since user insist on a pop-up warning and that the order could not be saved. But, I realized that it does not take open orders into account too although I have set the risk categories. Is it true and what solution is there for this issue then.
    Thank you for all your help in inputs.
    Regards,
    Yvonne

    Hi,
    Please follow the below configuration settings for Simple credit check process.
    Simple credit check: In simple credit check the system compares the credit exposure with payers credit limit. The
    credit exposure results from the total of the net document value and the value of the open items.
    We can set the following system responses at when the credit limit has been reached.
    A u2013Warning message
    B u2013 Error message
    C u2013 Delivery block
    Specify in VOV8  Credit limit [C]
    Configuration settings:
    Sales documents types u2013 Credit limit check: Transaction code: OVAK
    Path:
     IMG
     Sales and Distribution
     Basic functions
     Credit management/Risk management
     Simple credit limit check
     Choose sales document type OR
     Specify value
    [ ] = No credit limit check
    [A] = Run simple credit limit check and warning message
    <b> = Run simple credit limit check and error message
    [C] = Run simple credit limit check and delivery block
     Save and Exit
    Define credit control area: Transaction code: OB45
    Credit control area is an organizational unit that specifies and checks the credit limit for customers. A credit control
    area can include one or more company codes. It means we can assign one credit control area to number of company
    codes.
    NOTE: Within credit control area the credit limit must be specified in the same currency.
    Path:
     IMG
     Enterprise structure
     Definition
     Financial accounting
     Define credit control area
     Go to new entries
    (OR)
     Choose existing credit control area
     Select it and click on copy icon
     Rename it and click on details icon
    Specify currency [INR]
    257
    Data for updating SD fields
    Update [000012]: Open order value on time axis, delivery and billing document value. This field value controls
    when the values are open sales orders, deliveries, billing documents are updated in LIS. We can specify the
    following update groups for updating credit related statistics.
     Update group 000012:
    Sales order: Increase open order value from delivery relevant schedule lines.
    Delivery: Reduces open order value from delivery relevant schedule lines.
    Increases open delivery value
    Billing document: Reduces the open delivery value, increases open billing document value.
    Financial accounting document: Reduces open billing document value
    Increases open items.
     Update group 000015:
    Delivery: Increases open delivery value.
    Increases open billing document value.
    Financial accounting document: Reduces open billing document value
    Increases open items.
     Update group 000018:
    Sales order: Increases open delivery value
    Billing document: Reduces open delivery value.
    Increases open billing document value.
    Financial accounting document: Reduces open billing document value.
    Increases open items.
    Fiscal year variant [K4]: It indicates specific fiscal year variant for particular credit control area. The fiscal year
    variant is essential when a credit control area covers multiple company codes whose fiscal years are different. Then
    the values of the open orders are updated by posting period.
    Specify risk category [001]: 001 = High risk
    002 = Medium risk
    003 = Low risk
    This risk category entered in the related control area of the customeru2019s credit master record, which is automatically
    created when a customer is created in a company code.
    The credit master record is automatically maintained when at least one of the below fields is maintained for the
    corresponding control area.
    (A) Risk category
    (B) Credit representative group
    (C) Credit limit
    Credit limit: The credit limit that we enter here in the specific credit control area of the customeru2019s credit master
    record. This is automatically created when a customer is created in a company code (in XD01).
    NOTE: This credit limit is not a total credit limit for the control area.
    Representative group [001]: Define credit representative group in IMG.
     All company codes: If we want to tell to the system that, this credit control area is permitted for
    postings in every company code we have defined.
     Save and Exit
    NOTE: After this create Risk categories and Credit representative groups and come back to this step and assign
    these values to our credit control area.
    Risk category and Representative group defined and maintained by FI/CO consultants in IMG.
    258
    Assign company code to credit control area: Transaction code: OB38
    Path:
     IMG
     Enterprise structure
     Assignment
     Financial accounting
     Assign company code to credit control area
     Choose our company code from position button
     Click on assign button on the application tool bar
     Select our credit control area from the list and assign it
     Save and Exit
     Go to FD32 and check whether system created customeru2019s credit master data automatically or not.
    System creates customers credit master data automatically when we (FI/CO) people) configure credit control area in
    IMG.
    So as to perform simple credit check we have to specify customer master payers limit in the credit control area, and
    create customer master in XD01 transaction code.
     Specify reconciliation account number (GL account number)
     Payment history record: Check payment history record control in payment transaction tab. It is the
    control parameter to update the payment details that are made by customers and system will show the
    payment details in the FD32.
     Specify the credit control area in credit control area field in billing document tab.
     Save and Exit
     Go to VA01 and raise the sales order
    Check the system responses in each and every level of sales document processing and check whether the system
    blocked the delivery document (due to the setting in VOV8 of OR in check credit limit field [C] = Blocked for
    delivery).
     To release the delivery go to VKM4 and release the delivery document.

  • Report for open orders and amount of product confirmed

    Hi All,
    Can some one give me an idea on a report which shows open orders and also shows amount of product confirmed against these open orders?
    Thanks,
    Neelima.

    Hi Veni,
    Incomplete order are the order's in which some data is missing so that particular order can't be further processed, that is what you could check through "Incompletion Log". Whereas Open orders are the orders which are open for further processing viz. deliver billing(but open order is a complete order i.e. no data missing).
    Check this program:
    *& Report ZGM_OPENPO *
    REPORT ZGM_OPENPO NO STANDARD PAGE HEADING LINE-SIZE 132 LINE-COUNT 36(2).
    TABLES: t001w, "Plants/Branches
    ekko, "Purchasing Document Header
    ekpo, "Purchasing Document Item
    marc, "Plant Data for Material
    mara. "General Material Data
    DATA:
    BEGIN OF itab OCCURS 0,
    matnr LIKE marc-matnr,
    werks LIKE marc-werks,
    beskz LIKE marc-beskz,
    mmsta LIKE marc-mmsta,
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    DATA: BEGIN OF iekpo OCCURS 0,
    ebeln LIKE ekpo-ebeln,
    menge LIKE ekpo-menge,
    aedat LIKE ekpo-aedat,
    wemng LIKE eket-wemng,
    END OF iekpo.
    DATA: BEGIN OF iekko OCCURS 0,
    ebeln LIKE ekko-ebeln,
    lifnr LIKE ekko-lifnr,
    bedat LIKE ekko-bedat,
    ekgrp LIKE ekko-ekgrp,
    END OF iekko.
    selection-screen:begin of block b1 with frame title text001.
    SELECT-OPTIONS werks FOR ekpo-werks OBLIGATORY.
    SELECT-OPTIONS matnr FOR ekpo-matnr.
    SELECT-OPTIONS beskz FOR marc-beskz.
    SELECT-OPTIONS bsart FOR ekko-bsart.
    selection-screen:end of block b1.
    INITIALIZATION.
    AT SELECTION-SCREEN ON werks. "Validate for werks
    SELECT SINGLE * FROM t001w WHERE werks IN werks.
    IF sy-subrc 0. MESSAGE e429(mo). ENDIF.
    AT SELECTION-SCREEN ON matnr.
    SELECT SINGLE * FROM mara WHERE matnr IN matnr.
    IF sy-subrc 0. MESSAGE e429(mo).ENDIF.
    START-OF-SELECTION.
    SELECT * FROM marc INTO CORRESPONDING FIELDS OF TABLE itab WHERE werks IN werks AND beskz IN beskz AND
    matnr IN matnr.
    SELECT ebeln FROM ekpo INTO CORRESPONDING FIELDS OF TABLE iekpo
    FOR ALL ENTRIES IN itab WHERE matnr = itab-matnr AND loekz EQ space.
    SELECT ebeln lifnr bedat ekgrp FROM ekko INTO CORRESPONDING FIELDS OF
    TABLE iekko
    FOR ALL ENTRIES IN iekpo WHERE ebeln = iekpo-ebeln AND bsart IN bsart.
    SELECT ebeln menge aedat FROM ekpo INTO CORRESPONDING FIELDS OF iekpo
    FOR ALL ENTRIES IN iekpo WHERE ebeln = iekpo-ebeln. MODIFY iekpo INDEX sy-dbcnt.
    ENDSELECT.
    SORT iekpo BY aedat.
    DELETE ADJACENT DUPLICATES FROM iekpo COMPARING ebeln.
    SELECT wemng FROM eket INTO CORRESPONDING FIELDS OF iekpo FOR ALL ENTRIES IN iekpo WHERE ebeln = iekpo-ebeln.
    MODIFY iekpo INDEX sy-dbcnt.
    ENDSELECT.
    END-OF-SELECTION.
    DATA : file_name TYPE string.
    file_name = 'c:\pay_det\open_po1.xls'.
    DATA : BEGIN OF it_join_fields OCCURS 0,
    field_name(20),
    END OF it_join_fields.
    CLEAR it_join_fields.
    it_join_fields-field_name = 'ebeln'.
    APPEND it_join_fields.
    CLEAR it_join_fields.
    it_join_fields-field_name = 'menge'.
    APPEND it_join_fields.
    CLEAR it_join_fields.
    it_join_fields-field_name = 'aedat'.
    APPEND it_join_fields.
    CLEAR it_join_fields.
    it_join_fields-field_name = 'wemng'.
    APPEND it_join_fields.
    CLEAR it_join_fields.
    CALL FUNCTION 'GUI_DOWNLOAD'
    EXPORTING
    BIN_FILESIZE =
    filename = file_name
    filetype = 'ASC'
    APPEND = 'X'
    write_field_separator = 'X'
    TABLES
    data_tab = iekpo
    FIELDNAMES = it_join_fields
    IF sy-subrc 0.
    MESSAGE ID SY-MSGID TYPE SY-MSGTY NUMBER SY-MSGNO
    WITH SY-MSGV1 SY-MSGV2 SY-MSGV3 SY-MSGV4.
    ENDIF.
    LOOP AT iekpo.
    IF iekpo-menge NE iekpo-wemng.
    WRITE:/4 iekpo-ebeln,21 iekpo-menge ,46 iekpo-aedat, 56 iekpo-wemng.
    ENDIF.
    ENDLOOP.
    if sy-subrc 0. write / 'no data exist for this plant'. endif.
    TOP-OF-PAGE.
    uline 1(80).
    WRITE :/ sy-vline, 20 ' OPEN purchase ORDERs report' color 5,
    80 sy-vline.
    uline 1(80).
    WRITE:/ sy-vline , 4 'PURSCHASE ORDER' COLOR COL_HEADING,
    20 sy-vline, 21 'ORDER QUANTITY' COLOR COL_HEADING,
    45 sy-vline, 46 'item change' color col_heading, 55 sy-vline,
    56 'RECIEVED QUANTITY' COLOR COL_HEADING, 80 sy-vline.
    uline 1(80).
    END-OF-PAGE.
    WRITE :/ 'PAGE NUMBER' ,SY-PAGNO.
    Hope this helps you.
    Regards,
    Chandra Sekhar

  • Reminder  for open Orders of Costumer who made a  New order

    Hello Experts
    When adding a new Order to costumer, I want a Reminder or a Pop-up Block/notice That will tell me if this Costumer already have open orders in the system.
    And this for the reason of merging or combining a few orders together into one package for same costumer.
    Sometimes orders shipped out without notice that another order had shipped a day before to same costumer.
    Is it possible to make this kind of pop-up/block/Reminder?
    Is it possible to make this reminder  written in the Order Document edit?
    Thank you very much for your help.
    D.Medalion
    sorry for some wording mistakes - English is not my native language.

    Dear Heather,
    Thanks for trying to help me with my problem.
    I am familliar with Pick & Pack and it does'nt sutible for our company. maybe in the future, but for now; the inventory quantities are not always 100% correct in our SAP records (We are a small company and still not perfect) whice causes some issues with this Manager (because it's always rely on Available qty).
    But thanks again for suggesting it.
    About your question: In my company, a Sales order is being made by the Clerk, Then sent to the Stocker to Pick the package, after full Packing of the pallet, the stocker notify the clerk. then the Clerk is able to produce an A/R Invoice and arrange shipping.
    The problem happening when one order is being packed and put a side for waiting shipment. then another order for the same Client is being proccessed, the Stocker pick it up, and pack it. this causes a cituation of two diffrent packages for same client.
    The first package could sent out during the picking of the other one or even an Hour before. it's the same principle. eventually there are two shipping cost for us. instead of pack it all together in same pallet.
    I would like to create a FMS query (as gordon suggest me) to triger inside the Order form, during the adding new order. and putting the clients name. it will triger a note or warning on a rubric i choose.
    IF [Cardcode] has open orders THEN note "Attention - client have open orders!" , ELSE do nothing.
    I'm sorry for the non proffesional wording of the query, but this is the general idea that i have.
    Maybe Heather , you could help me formulate this query.
    Thanks a lot.
    D.Medalion

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