Display open items

Hi,
I am very unexperienced in this module. Can someone help me to display open items  T-code ???
Regards
Alexander

Hi,
IF you want see
GL open items                      FBL3n
Vendor open items              FBL1N
Customer Open items         FBL5N
In all three t codes in the header you select If GL select or If Vendor select vednor  or  If Customer select customer and all three
line item options select open items if you want to view open items and if you want view cleared select cleared items and if you want to view open and cleared items then select all items and you see the required
regards,
Santosh kumar

Similar Messages

  • Display Open Items in Foreign Currency (LC3) during Clearing

    Hi all.
    Please advice, how can we display LC3 in open item clearing transactions (like F-03)?
    Our problem is that we need to clear accounts which have amounts only in LC3 (other amounts = 0) and users can't select proper document to clear.

    Hi Philip,
    During the clearing is not posible to display open items in foreign currency LC3.
    As workaround you can do the following:
    You can display with FBL*N the open items to be cleared by choosing in the layout "Amt in loc.curr. 3", and then when using the clearing transaction (F-53 for example) through additional selections insert the document numbers noted before from the FBL*N.
    Hope this workaround helps.
    Regards

  • BAPI to display open items.

    Hello gurus,
    In F-03 we  can specify the Company Code and Account Type. Based on this input it displays the open items.
    1. I want Some method either it may be BDC or BAPI to do this proces bcoz i m going to use this output in another program.
    2. The program gives some output, another BAPI or FM has to take the output to the main ledger.
    I want BAPIs for these two processes ... Plz help me ...

    I recently used the function module CUSTOMER_OPEN_ITEMS, and found it to have more fields than the BAPI.. It is also pretty easy to read. The results it returns are the same as the above BAPI.
    Hope this helps.
    Sudha

  • How to display Open Items (with current status as Cleared) for prior date?

    Hi all,
    We have an existing Customer Balances report wherein we are able to veiw the Debit/Credit amount Of all the open items based on the input date given by the user but unable to view the items which have been cleared later for the items opened on the mentioned date.
    However, in case of ECC, if the user enter a specific key date, he is able to view the Open & Cleared items for the mentioned date.
    The user is expecting the same logic for the BW report.
    E.g: If i run the report for date 30th Oct, 2010 and for Comp Code X; then the output should show all the Open items as of date 30th Oct, 2010 irrespective of the case that some of the items have been cleared later than the mentioned date.
    PLEASE HELP!!!!!!!!!!!!!!!

    Hi Sneha,
    I think you are talking about the open item means opening balance as on date along with the sales or collections or adjustments and the Closing balance as on date right?
    for this we had designed in modeling. our requirement is also similar one which shows the opening bal,, sales ,coll ,adjustments and closing balance. for a particular customer and company code entered in selection screen.
    For this in order to get the open items
    we had create a new cumulative key figure in which i had taken
    inflow : debit amount
    outflow: credit amount
    you will get the closing balance.
    For getting the opening bal we had a formula like
    opening bal+sale-Adj-coll = closing bal
    now in order to cal opening bal=closing bal-salesadjcoll
    in this way we acieved the requirement.
    if you can give more details can help u on this.
    i think you are using 0FI_AR_4 data source for your requirement right?
    Regards
    KP

  • Display between open items and cleared items in FS10N

    hello all,
    I have the following problem.
    When I go with FS10N with double click on the initial balance of an G/L account I get the message:
    "A large number of line items were selected
    Recommendation: Only display open items
    Do you want to display open items only?
    Yes or NO?"
    If I click yes, I get the open items only and if I click no, I get the cleared items. The strange thing is that I get same line items in both reports. For example, I can see same line item, one time as cleared (when I click no) and one time as open (when I click yes).
    Do you know the reason for this? For both reports I click on initial balance, so key date should be 01.01.2009, if I run FS10N for fiscal year 2009. Right?
    The user is confused in this situation because he is not sure if the item is cleared or not.
    thanks for quick reply!
    Daniel Nicula.

    If you click yes, you get the open items only , but if I click no, you don't get the cleared items only. With NO, you get ALL items.

  • Difference between vendor open items and vendor balance

    Hi all,
    I have the following problem: When I display open items for a vendor with a special general ledger code, it happens that for some vendors, the total of these open items do not equal the vendor balance concerning this special GL code.
    Or in other words, the sum of BSIK and BSAK entries are not equal to the totals in table LFC3.
    I identified SAP standard program RFEWA003, that gives me exactly these differences, but how can I correct the entry in LFC3?
    The difference only occurs in the current fiscal year and is in the carryforward amount of LFC3. I checked the totals of debits and credits for the current year which are 100% correct.
    Our last fiscal year was shortened (only 11 months). Could this be the reason?
    How to correct LFC3 entries? Any correction program existing that is not related to Euro conversion?
    Thanks for your appreciated help,
    andie.m
    Edited by: andie.m on Jul 2, 2009 2:49 PM

    Hi Michael,
    Thanks for your answer, but I tried already the carry forward. It just says there is nothing to be treated.
    I thought there might be a special carry forward transaction for special general ledger accounts, but it does not seem.
    Any other ideas?
    Thanks for your help.
    Andreas

  • Vendor Open Item Was Not Offset After a Replacement Check

    Hi FI Guru,
    We have an issue with vendor replacement check.  Our vendor open item still apears in FBL1N after a replacement check is paid.  We initially issued a check against a vendor invoice and we had to void that check because due to check printing problem.   The check was cancelled in FCH8.  We then issued a replacement check in F110.  When I displayed open items for the vendor in FBL1N, the vendor invoice still showed up.  The replacement check already sent to our vendor.  So we have to apply the payment to the vendor's invoice.  It seems the second transaction (for the replacement check) is incomplete because I dont't think it hits our bank account.
    Here are my questions:
    1) Is there another transaction our user needs to offset vendor invoice?
    2) If we have to fix it manually, what is the best option to offset the open vendor invoice and still be able to hit our bank account.
    Any help is appreciated. 
    Thanks!!
    Reiling

    Hi,
    In order to change the Open Item Management for a G/L account using
    ZFSEPA02 the line item total(Total of open items)for this account
    should match/tally with the account balance for this account (FS10),
    otherwise the open item activation will not be possible.
    Unfortunately as per note 175960 you find reports RFSEPA02/ RFSEPA03
    are no longer supported as of release 4.5A.
    ALTHOUGH you can find a possible solution on how to tally the line items
    to the balance in the NOTE 403744.
    1.  Active New General Ledger
             This note applies ONLY WITH RESTRICTIONS to Release ERP 2004 or ERP
             2005 with activated New General Ledger and activated document
             splitting.
             In these releases, it is not currently possible to subsequently
             activate the open item management under the specified conditions.
             The only option currently available is to set up a new account with
             open item management and to use this instead of the original
             account.
             However, it is also possible to deactivate the open item management
             using report ZFSEPA03 under the prerequisites described below.
         2.  Migration to the New GL:
             If you are planning to migrate to the new General Ledger using a
             migration type that enables the use of document splitting, ensure
             that in Phase 1 and Phase 2 NO changes are make to the open item
             management. Phases 1 and 2 indicate the period between the migration
             date and the end of the actual migration (the "Migration Completed"
             indicator is set)

  • How to know open item or closed item

    Hi Folks
    I have developed a report on FI .
    iam displaying open items( BSIK) and closed item (BSAK)
    in one file.
    my question is there any filed available in BSIK or BSAK to user know whether that transaction is open or closed?
    becasue iam displaying all the records in one file.
    regards
    neeru

    Hi,
    Check for "Clearing Date" field.  (BSIK- AUGDT or BSAK- AUGDT).
    This field will have blank value for open items (BSIK) and date value(clearing date) for cleared item (BSAK).
    Hope this helps.
    Regards,
    Chirag
    Assign points if this helps...

  • Trouble creating a open items report (BSID and BSAD tables)

    Hi guys,
    im creating a report that must display open items for an especific date, and i do it very well with a query from BSID table.
    The problem comes when u use a date on the past, example last week.
    if u do that, the items are now closed and are no longer stored in BSID table, so i think that they must be now in BSAD table, but i dont know how to relate wich ones are recently closed...
    i also tried to do a query from BSAD with augdt >= last week date, and i almost get the items that i needed(this items plus the ones from BSID), but is not exactly because u can close an item with a date in the past..
    is there any way to relate that 2 tables, or what exactly happens when an items change from bsid to bsad??
    any ideas?

    Hi;
    I think the best way to recive the necessary information is using logical data base DDF.  You can use report RFITEMAR to see how use the logical data base.
    Some months ago I've read the data in my report in following way:
    1. make Z-copy of report RFITEMAR
    2. in Z-copy after end-of-selection insert
    export it_pos to memory id 'POS_TABLE'.
    3. In your report write a form similar to my form below:
    *&      Form  submit_zrfitemar
    FORM submit_zrfitemar  tables    rkunnr  type trgr_kunnr
                                     it_pos  type it_rfposxext
                           using     ibukrs  type bukrs
                                     idatsd  type sy-datum.
       data: rspar    type table of rsparams,
             l_rspar  type rsparams,
             l_pos    type rfposxext,
             akunnr  type kunnr.
       l_rspar-selname = 'DD_KUNNR'.
       l_rspar-kind    = 'S'.
       loop at rkunnr.
           move-corresponding rkunnr to l_rspar.
           if l_rspar-high = ''.
               l_rspar-option  = 'EQ'.
               else.
               l_rspar-option  = 'BT'.
           endif.
           append l_rspar to rspar.
        endloop.
        clear: l_rspar.
        l_rspar-selname = 'DD_BUKRS'.
        l_rspar-kind    = 'S'.
        l_rspar-sign    = 'I'.
        l_rspar-option  = 'BT'.
        l_rspar-low  = ibukrs.
        append l_rspar to rspar.
        clear: l_rspar.
        l_rspar-selname = 'PA_STIDA'.
        l_rspar-kind    = 'S'.
        l_rspar-sign    = 'I'.
        l_rspar-option  = 'BT'.
        l_rspar-low  = idatsd.
        append l_rspar to rspar.
        clear: it_pos[].
      submit ZRFITEMAR
      with selection-table rspar
      and return.
      import it_pos from memory id 'POS_TABLE'.
    ENDFORM.                    " submit_zrfitemar
    You find the necessary data in table IT_POS.
    JS
    Edited by: John Smith on Oct 9, 2008 5:42 PM

  • Open Item managemnt to be activated to Vendor  Recon Accounts.

    Dear all,
    My client now wants to activate Open item Management for Recon Accounts of VEndors. 
    I am getting Error Message no. FH031.
    Please help.
    regards
    jaya

    Hello Dear
    It is not possible to have open item management for Recon. A/cs.
    However you can view open items, when you go to FS10N and click ***.Balance, if the no. of items are large then it will ask for displaying open items as recommendation.
    OIM is already there in the sub-ledgers - A/P Module
    You can use report FBL1N for viewing open item of vendor(s).
    Hope it Helps
    Cheers
    IMK

  • Reports to display vendor open items by payment methods

    Hi Gurus,
    Is there any reports to display vendor open items by payment methods?
    Thanks i

    Hi,
      Use FBl1N or F.41
    Goto Dynamic selections, Select payment method give that and execute. It will give you the report payment methd wise.
    Regards,
    Radhika.

  • Open items displayed in FBL1N but not displayed during vendor payment

    Hi gurus,
    Does anyone have any idea about this topic?
    When using FBL1N, I can display all my vendor items, but when I want to pay the vendor with f-53, the system tells me there are no open items, whereas I saw several of them in FBL1N.
    It does not seem to be a problem of due date (I use same due date in fbl1n and f-53).
    Would anyone have any idea?
    Regards,
    Ronan

    Hi,
    In f110 propsal may be active and you might have selected those items but you have not completed the payment program pls check the payment proposal if line items are there you delete the proposal then try f-53 .............
    Regards
    Pramod

  • FB05 All open items are not displayed

    Hi,
    We are trying to clear invoices on customer XXXX but it does not show all invoices in transaction FB05.
    We used all Special GL indicators and with normal items tab seperately as well as simultaneously but not all items are displayed What could be the problem.?
    regards,
    Makrand

    Hi
    You  can   first  analyze  the   open items in  FD10N  and  check  if  any  uncleard entries are present .   I   think that  even if  there is  a payment  block,  the  process item list  should  show  all  the  open items    as  seen in  FD10N.
    Thanks
    kamala

  • ICR process for Open item recon.(003) - Report Display issue

    Hi All,
    I am facing a problem in the data reconciliation report display.The document number "1212121212" doesn't not exist in the SAP system.But "1212121212" is used as the reference number in the another document which is created in the SAP.
    Legacy data file.
    RCOMP RASSC       DOCNR                ATYPE        RACCT      RTCUR     TSL
    L001     U001     1212121212     C     CCU001     USD     200
    In the data selection process, i am using the following inputs.
    Company code - L001, U001.
    Vendor - CCU001,CCL001.
    Customer - CCU001,CCL001.
    In the data assignment process, i am using the following inputs.
    Company - L001, U001.
    Trading Partner - L001, U001.
    Rule - 300, 400.
    Rule - 300 config.
    200     DOCNR     Document Number     Equal     DOCNR     Document Number
    Rule - 400 config.
    200     DOCNR     Document Number     Equal     REFNR     Reference Number
    In the reconciliation report display (right side bottom page),
    U001->L001->Payables or other way around L001->U001->Receivables (Top Left side).In the either of the two display am able to see two items.
    first item (not expected in the report display, bcoz there is no relevant data present in the legacy file).
    TR.PT PRT.DOC.NO  PR.CUR Amount DGC  Difference  Reference no
    U001 1700036236      USD       500       USD   500          TEST
    The first item exist in the SAP and it is getting selected during the data selection process.
    second item (reconciled and expected in the report display)
    L001     U001     1212121212     C     CCU001     USD     200
    Kindly help.
    Thanks in advance
    Regards,
    Karthik

    Hi Ralph,
    Yes we are having two company codes.your understanding on this point is rite.
    I am using the standard file upload functionality from the presentation server for uploading the non-sap company data.since in the earlier thread i had explained very detail level, so now had made it short.
    The only issue that I am having is that I have just one line item in my upload file and it is from non sap company L001 for trading partner u001. File gets loaded (data selected 1 correctly), Then after all the steps when I am in the last step (reconciliation) I see that line getting reconciled with other line available in U001 with zero difference. That looks good because it is matching as per my rule. but I am also seeing some other open items in U001 that are also getting reconciled with no lines in file with difference equal to their values. They should not show up in the bottom part of reconciliation part at all as they are still open in U001 and should not get reconciled until I put their offsetting lines in upload file from L001. So they should stay at the top right side in simple words I am seeing open items as well in reconciliation portion bottom one even I do not have any lines to reconcile them and they are showing a balance in them as well.
    Thanks in advance.
    Let me know, if you need any more details.
    Regards,
    Karthik

  • 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
    did u try S_ALR_87012077
    Thank You,

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