Difference in GL Balances between two Standard Report fbl3n and fagll03

Hi ,
Mismatch of balances between two standard report ie.fbl3n and fagll03 . We are giving the complete example of what we are facing right now ... please go through the examples .
ENTRY NO. 1
We have posted one MIRO , Accounting Posting is as below : -
PK         Description    Amount       
86         GR/IR             1000.00               
31         Vendor           -800.00
50          TDS               -200.00
ENTRY NO. 2
We have Reversed the MIRO through MR8M , Accounting Posting was as below : -
PK         Description     Amount       
21         Vendor             800.00
40          TDS                 200.00
96          GR/IR            -1000.00
But in Standard report FAGLL03 , .The line items of above twoi entries under GL " TDS " are showing in this way  : -
Doc No.      PK      Ammount
Entry 1       50          -200.00
Entry 2       40          -200.00 -
> ?????
*OPEN ITEMS          - 400.00----
> ?????
Although in other Standard report FBL3N , the same are showing correctly as shown below
Doc No.      PK      Ammount
Entry 1       50          -200.00
Entry 2       40          +200.00
*OPEN ITEMS                0.00
PLEASE HELP
Regards
Soumitra Bhattacharya

Hi
FAGLL03 - Display/Change Items (New)  - this report is related to ledger reporting purpose.  this reports is available after ECC 5.0.
FBL3N - is line item display - this is only GL reports (not in ledger reporting)
if you find any difference is values please check the report variant you are using and ledger you are activated.
hope this will help you.
Regards
Ram

Similar Messages

  • Trial Balance between two effective_date

    HI,
    i am new to OBIEE. i have to create Trial Balance between two effective_date.
    filter should be: from effective_date: date1, to effective_date: date2.
    report should show following columns:
    company (group by this column), sum(accounted_cr) between date1 and date2, sum(accounted_cr) to date1 (like opening balance).
    i made repository file. but i can't filter as i need. could anyone help me?
    Thanks
    Sebuhi

    na

  • How to find the difference in object definition between two databases

    Hi,
    Can any one suggest me how to find the difference in object definition between two different databases. Is there any tool or by OEM? If so how?
    Regards
    Naveen

    this link may be helpful...
    http://www.dbspecialists.com/scripts.html

  • Drag & Relate between two BW reports

    Hello together,
    I want to implement the Drag&Relate functionality between two BW Reports via EP 6.0. I have configured the connection between Portal and BW with the report RSPOR_SETUP. The SingleSignOn and the import of business object is working well. After that, I took 2 BW testreports which were prepared for D&R. When I now drag the customernumber of report1 to the target report2, I get the error message "No relation found between the source and target business objects". The business object in both reports is 0CUSTOMER, so what relations should be set?
    Where is the mistake, could anybody help me?
    Thanks and regards.
    Gerd Nedderhoff

    Hi Gerd,
    You have to link the two iviews. First double click the first iview. Then right click the second iview and make it as the target iview. Then in the navigation panel you see the other iview in the Drag and relate section.
    Regards
    Arun

  • How to remove white space between two answer reports

    How to remove white space between two answer reports
    In Dashboard section I have 2 rqeuest. Each request renders Table View. When I display dashboard, it show white space separating the 2 table views. How do I get rid of the white space/white band ?

    See this link
    Re: Eliminating the space between two reports in OBIEE dashboard page Section
    Regards,
    Sandeep

  • Sales employee related data not flowing in standard report MCTI and VF05

    Dear All
    I have created a partner function sales employee by coping VE.All assignments in partner determination done.After maintaining sales employee in customer master it is flowing to sales order.After processing invoice when i check the standard report MCTI and in VF05 under partner function tab,.the data is not flowing.I checked in the OVRP setting are there.
    Please guide.
    Regards,
    Deepti

    Hi,
    Are you updated it as daily in OMO1
    double click on infostructure S006 and select daily and see
    Kapil

  • How to count days between two dates excluding saterady and sunday

    Hi all
    iam working on oracle sql/plsql.
    In my application , i need to caliculate leave days between two dates excluding saterady and sunday
    Please tell me the solution if any one knows
    thanks in advance ,
    balu

    More modern version:
    WITH date_tab AS
    (SELECT TO_DATE ('&from_date', 'dd-MON-yyyy')
    + LEVEL
    - 1 business_date
    FROM DUAL
    CONNECT BY LEVEL <=
    TO_DATE ('&to_date', 'dd-MON-yyyy')
    - TO_DATE ('&from_date', 'dd-MON-yyyy')
    + 1)
    SELECT business_date
    FROM date_tab
    WHERE TO_CHAR (business_date, 'DY') NOT IN ('SAT', 'SUN');Thank you,
    Tony Miller
    Webster, TX
    Never Surrender Dreams!
    JMS
    If this question is answered, please mark the thread as closed and assign points where earned..

  • Difference between standard report S_ALR_87011963 and the custom report

    Hi Friends,
    My client requires a report which displays the acquisition and depreciation values of assets. Actually the requirement is to display all the values except planned depreciation.
    Therefore we are taking the values only from the table ANLP. However the values in this report is not matching with that of the standard. In the standard report the Current Book Value should be selected to avoid planned depreciation. Am i right??
    So once the CBV is checked the standard report will display only the posted values for a period.
    But we are getting a huge difference in the depreciation value between the two reports.
    Please help me out on this.
    Regards,
    Prasad

    I think your client requires to see Gross asset value and Deon posted in the report for all the years (not for current year only).  If that is the case, current book value = APC - Depn posted earlier, so it gives wrong result.
    Ex  : Asset acquired in 2006 ; APC = 1000$ ; Depn posted in 2006 : 100$, so current book value is 900$.
    So, I would suggest to have a look at the logical data base ADA or use ANLC, ANLV, ANLQ, etc or ANL* and search for the relavant tables required for your purpose.
    regards
    S

  • Difference in the Balance between FS10N and Customer Balances in Local Curr

    Hi,
    When i am trying to match the Balances between FS10N and Customer Balances in Local Currency for the Period 8, we are getting the difference, The reconcilliaton Account was changed on 30.08.2010.
    Please help Us in tracing the differences between FS10N and Customer Balances in Local Currency.
    What could be the possible reasons for the differences..
    Thanks

    Hi Varshani,
    Please use the program/report SAPF070 to compare or reconcile your AR with GL balances. You can use SAPF071 to correct any inconsistencies. Provided below documentation for these programs.
    SAPF070  - Compare Documents and Account Transaction Figures
    Description
    This program compares debit and credit transaction figures in customer, vendor, and G/L accounts with the debit and credit totals from documents posted in the corresponding posting period (accounting reconciliation). The sales totals are also compared for customer and vendor accounts. There is no separate comparison for special G/L transactions.
    A comparison for G/L accounts can be made in company code currency and in parallel currencies (such as group currency). A comparison for customer and vendor accounts can only be made in company code currency.
    After the program has finished, a message is issued to the user that started the program. This message summarizes the results of the reconciliation.
    Output
    The program compares the totals of an account on a periodic basis. If the debit and credit total differs between account and documents, the account is printed with the debit and credit totals and the difference.
    Differences in G/L accounts are shown per transaction currency. The first line shows the amount in local currency, the second line shows the amounts in transaction currency.
    If a document which falls within the selection range is posted during the program run, the program is terminated since a reliable result can no longer be delivered.
    SAPF071 - Adjust Balances after Comparing Documents/Transaction Figures
    Description
    If a financial accounting comparative analysis (SAPF190) or a comparison of documents and transaction figures (SAPF070) shows that there are differences between documents and transaction figures, you can use this program to make an adjustment. The documents form the basis for this adjustment. The program adjusts the (redundant) transaction figures, which are only totals of amounts from documents.
    Requirements
    All of the following listed requirements must be fulfilled:
    1. A financial accounting comparative analysis (SAPF190) or a comparison of documents and transaction figures (SAPF070) must be made, and differences must be found between documents and transaction figures.
    2. There must not be any inconsistent documents found. These are listed in both SAPF070 and SAPF190 as well as in this program.
    3. There cannot be any problems in the other modules. Caution: You have to check this yourself. Financial Accounting may be correct but the other modules may not be, and this will adversely affect the program run.
    4. You can only make the adjustment in the ledgers which are compared by program SAPF070. This is ledger 00 or a user-defined ledger for all parallel local currencies except the group currency. (The program displays these ledgers). You have to adjust any additional ledgers as well as average balance ledgers yourself.
    5. No documents during the period in which you are adjusting transaction figures can be archived. Caution: You must ensure that these documents are not archived by establishing appropriate organizational rules and procedures.
    Only use this program after consulting with SAP or after checking the prerequisites thoroughly.
    You should adjust all differences together for a single company code. By setting the program parameters you can limit the adjustment to G/L currency types or to balances in subledgers.
    It is advisable to execute a test run first, which will list any differences that are found.
    Further notes - Authorizations
    Repair program authorization group (F_005)
    Company code authorization         (F_BKPF_BUK)
    Thanks
    Venkata Ganesh Perumalla
    Edited by: Venkata Ganesh Perumalla on Sep 28, 2010 1:30 PM

  • Bestway to find difference between two roles in quality and production

    We have a process of collecting su53 dump and then analyze for missing authorization . However some time although everything works fine in quality , it fails in production . Hence I want to know a simple methodology to compare roles in quality and production to know difference ... Can anyone share best methodolgy being used in your setup ?
    NPB

    (1)How to find the difference between two dates at Universe level and at report Level in IDT?
    DaysBetween ([Sale Date];[Invoice Date]) returns 2 if [Sale Date] is 15 December 2001 and [Invoice Date] is 17 December 2001.
    (2) How to change format of dates from YYYY/MM/DD to DD/MM/YYYY in IDT at prompt level ?
    =FormatDate(ToDate(YOUR DARE OBJECT);"YYYY/MM/DD");"dd'/'MM'/'yyyy")
    =To_Char (object name, required format)
    Find the below link for more info.
    http://scn.sap.com/community/semantic-layer/blog/2014/04/18/bi41-business-layer-enhancements--create-display-format
    (3)What is VIEWS in IDT of data foundation layer when we right click? could u plz give one example where exactly we use VIEWS?
    A custom data foundation view is a subset of the data foundation Master view. You can use views when editing a large data foundation, and interested in working with a subset of tables. You can define multiple custom views for the data foundation due to the complexity of the data warehouse.
    Essentially, need created views for each individual star scheme (like Sales, Production, Finance, Accounting, etc.) plus a view for eachcomplex dimension structure (like Business Partner, Material, Customer, Plant etc.),
    Find the below link for more info.
    http://scn.sap.com/docs/DOC-54422
    (4) How to represent & report my IDT data in dashboards? could u plz explain the steps?
    Please find the below link: http://scn.sap.com/docs/DOC-27559

  • Load balancing between two routers

    I have two routers connected through the LAN connection. The first one is using as routing protocol EIGRP, the other one is part of the managed service and I do not have access to it. I would like to make a load balancing between the two of them by redistributing the static routes in EIGRP. When I tried this, I am loosing the EIGRP entry for this route in the routing table. I would like to have both of them , so we could have traffic sharing. I appreciate if you give me any hints.

    Raju,
    you have two choices as far as I can see. If you want to use static routing over the WAN to your branch, you could duplicate your static routes to the branch and point them to the secondary router. You will have two identical sets of static routes in the primary router, one set pointing to the WAN interface and the other one pointing to the secondary router.
    ip route x.x.x.x "WAN-interface"
    ip route x.x.x.x "secondary router"
    ip route y.y.y.y "WAN-interface"
    ip route y.y.y.y "secondary router"
    etc.
    As a result the primary router will have two routes to the branch and will load-balance. If one next-hop fails (either the WAN interface or the secondary router), only the other will be used. If the next-hop comes back up, load-balancing will resume.
    The other choice would be to use EIGRP over the WAN, and make sure the two routers become EIGRP neighbors. Then you can use the "variance" command to achieve unequal cost load-balancing between the two routers. Let me know if you need more information about this, but i think static routes will be sufficient in your situation.
    HTH, Thomas

  • Calculate the Difference Between two dates excluding weekends and Holidays

    Hi,
    We need to calculate the difference between the two dates by excluding the Local public holidays (It is global and varies across countries) and weekends should not be included in calculation for a business day in OBIEE.
    We have two dates: Open date and close date when ever close date is null we are calculating age based on taking the current timestamp and need to exclude the weekends and Holidays when ever the close date is null.
    Ex:
    Col1 col2 Total
    11/9/2010 2:46:38 PM Null 13
    11/2/2010 8:06:26 PM 11/3/2010 5:37:03 PM 1
    (In the Total we shouldn't include the weekends,holidays)
    Please let me know how to calculate the difference between two dates by excluding the weekends and holidays.
    Thanks
    Edited by: user10441472 on Nov 22, 2010 3:14 PM

    You already asked this question and I answered it...
    Re: calculation of Business day in OBIEE

  • Load balancing between two interfaces on 2811

    Hi,
    We have a 2811 router with VPN and NAT configured. We have two internet connection from different ISPs. The speed of our original connection is 2MB up and down. The speed of our new connection is 1MB up and down. We want to configure load balancing between the two connections. Our new ISP has provided us with a CISCO 837 router. We want to connect that router into our 2811 on one of the free WIC card and then configure load balancing between the two interfaces on our 2811. The third interface has a local address configured. Please suggest where to start. I tried searching on net for any configuration example but I was unable to find any particular example with commands. I am new on CISCO platform. Any help will be hugely appreciated. Thanks in advance.

    Raju,
    you have two choices as far as I can see. If you want to use static routing over the WAN to your branch, you could duplicate your static routes to the branch and point them to the secondary router. You will have two identical sets of static routes in the primary router, one set pointing to the WAN interface and the other one pointing to the secondary router.
    ip route x.x.x.x "WAN-interface"
    ip route x.x.x.x "secondary router"
    ip route y.y.y.y "WAN-interface"
    ip route y.y.y.y "secondary router"
    etc.
    As a result the primary router will have two routes to the branch and will load-balance. If one next-hop fails (either the WAN interface or the secondary router), only the other will be used. If the next-hop comes back up, load-balancing will resume.
    The other choice would be to use EIGRP over the WAN, and make sure the two routers become EIGRP neighbors. Then you can use the "variance" command to achieve unequal cost load-balancing between the two routers. Let me know if you need more information about this, but i think static routes will be sufficient in your situation.
    HTH, Thomas

  • What diff between BIP AttachEntity Report Generation and BIP Report Generation?

    Hi all,
    I want to know the two WF has what's difference.
    I had seen they have same method and step.
    Actually,I want to do a function, when click a button,will generate BIP reports.
    Using the BIP Report Gneration can do this.
    But I want pop a window to open or save the report after the WF finished work.
    Could  BIP AttachEntity Report Generation  do that?
    I had similitude it seem same as BIP Report Gneration.
    Be appropriate to you if you can answer the question.
    Thanks,
    Wenqin

    Ok, let me guess, you are seeing an error that says an invalid printer was selected, right? Well there is a bug in your code but it has nothing to do with the printer that you have selected. Specifically you have some of the margin values set to zero -- which is invalid. The margins have to have a value of at least 1. In case you're interested, I followed down the logic and inside the print report VI the code, for some unknown reason (NI is checking into it), remapps an error code that correctly identifies invalid margins to report one that reports an invalid printer name. Apparently this was first reported in 2008.
    Verified this behavior of both LV2013 and 2014.
    Mike...
    Certified Professional Instructor
    Certified LabVIEW Architect
    LabVIEW Champion
    "... after all, He's not a tame lion..."
    Be thinking ahead and mark your dance card for NI Week 2015 now: TS 6139 - Object Oriented First Steps

  • Report standard from FBL3N and VF03

    Dear Experts,
    Is there any SAP standard report if we need data which taken from VF03 (billing no, billing date, batch no, material number , material description), quantity) combined with data from FBL3N (amount in local, amount in document currency, posting date, profit center) ?
    Kindly advice.
    Thank you

    Hi ,
    As fas as I know, there is no such standard report in SAP.
    - Better you can use the fields and generate the customized report using "Report Painter", or
    - Give the relevant fields in the form of a Functional specification for the ABAP team to develop.
    Regards'
    Srini

Maybe you are looking for

  • ITunes no longer connecting to internet

    For the past two days, iTunes has been unable to connect to the internet. Everything else works on my computer (browsers, etc.), but my podcasts won't download and I cannot access the iTunes store. The error messages sometimes read "the network conne

  • Format-number doesn't work with XSL and DW preview

    Hi All I'm creating XSL files to transform XML into HTML. However, the number formatting doesn;t seem to work in Dreamweaver. For example, if I specifiy: format-number(price,'$###,###.00'), I should get $7596.99. I actually get 7596.990000000001 in m

  • Why facetime can't open in os x mountain lion

    why facetime can't open in os x mountain lion. and it always say can't find the facetime server!

  • How to get server Proxy of weblogic10.3

    oracle.security.jazn.ApplicationServerProxy getProxy() used to get server proxy of OC4J. Any thing similar stuff in Weblogic 10.3 to get server proxy of Weblogic 10.3? ( I am using JDev11g in-built Weblogic10.3 server.) Thanks in advance for your hel

  • OGG-00435 - Must be PURGE, APPEND, RESTART, MEGABYTES or MAXFILES. - MYSQL

    Hi, I'm trying to replicate from Mysql -> Oracle. config is, add extract ext1, tranlog, begin now add exttrail /u01/app/oracle/product/ggs/dirdat/lt, extract ext1,MEGABYTES 50 extract ext1 SOURCEDB [email protected] USERID ggs_user,password ggs_password