EBS - NTRF for multiple transaction codes

Hello,
I am implementing EBS using MT940 format, when I analysed the bank statement, I could only see NTRF transaction code assigned for Interest, Transfers, bank charges etc. I need different posting rules for each of them.
I would appreciate inputs on this.
Thanks,
Jay

Found an exit which will resolve this...
Cheers,
Jay

Similar Messages

  • F.01 - Trial balance for multiple company codes

    Hello SAP gurus,
    I am trying to use transaction F.01 to generate trial balance for multiple company codes. My ideal output is as follow:
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    AAAA                  10000             200,000
    AAAA                  10001             100,000
    BBBB                  10000             500,000
    BBBB                  10001             300,000
    However, when I tried to run the report in ALV format, the report aggregate the total by GL accounts which is not what I want (see below).
    Company Code     GL account     Amount
    '****                      10000             700,000
    '****                      10001             400,000
    Do you know if it is possible to generate a trial balance broken down by company code and GL accounts in ALV format? If yes, how do I do that?
    Thanks,
    Cassandra Wong

    In the initial screen of F.01, if you select radio button 'ALV grid control' and select the layout as '1SAP' and execute, you will see the button Expand (Ctrl+F2) in the report - it is adjacent to the blue information button - you will see a + sign and the words 'Company Code' on that button.  Even if you are not able to locate the button, just press CtrlF2 on your keyboard, the list will expand.  You may not have company code in the layout - you can change it using the 'Change Layout (CtrlF8)' button and then by bringing 'Company Code' field from the Hidden Columns on the right to the Displayed Columns on the left.

  • SEPA file – how to create one file for multiple company codes

    Dear experts,
    My company has multiple company codes and they process automatic payments (F110) for multiple company codes in the same run.
    The company wants to generate one SEPA file for all company codes.
    In OBPM1  for SEPA format in the section ``Payment medium output devided by level of detail`` I unchecked everything (attached).
    OBPM4 for SEPA format is showing `` No separation of payment medium output``.
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    Hi Zara,
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  • Contract for multiple company codes

    Hi,
    The requirement is to process the Sales Contract for multiple company codes, the concern is
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    Regards
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    Hi
    If it is a customer contract (SD contracts) then it is not possible to create the document without specifying the sales area. In the overview screen, even if the sales area is not specified, it takes the value from the 'Sold To' customer master record. If the SP exists in multiple sales areas, then the system displays the different sales areas in a popup and we have to select the appropriate one. To my knowledge, even if you manage to create the contract without those details, you cannot refer them for creating the release orders.
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  • Single depreciation run for multiple company codes

    Hi experts,
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    Ben

    Use the program RAPOST2010. There is no transaction for this program, but you can create your own if necessary, for example ZAFAB.
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  • 1099 misc file format not able to get for multiple WHT code??

    Dear Experts,
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    Any comments on this are highly appreciated.
    Thanks in Advance
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    I am seeing the same issue. This worked for us last year. But this year the A Record indicates that we only have Withholding code 7, yet our detail records have withholding amounts in columns 1, 6, and 7.
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  • One lockbox for multiple company codes

    Is it possible to have one lockbox for multiple company codes?

    No, I don't think so. Lockbox is 1:1 for a Company Code.
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    You can use one of the 2 available Lockbox user exits (not sure which) to write a piece of code that searches invoices against the customer posted to different company codes. You will have to have the intercompany setups.
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  • Entry Channel setup for multiple company codes

    Hello,
    I have a question regarding the entry channel setup (for external requirements in the Plan-Driven Procurement scenario)
    In previous implementations, I 've created an entry channel below each company code (as the documentation says it should be). Now, for each entry channel, there was a EBP user assigned, which corresponded to an RFC entry in the backend system (I was connecting EBP to multiple backend systems)
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    Any help would be greatly appreciated.
    Regards,
    Gilberto.

    Hi Proyecto Genesis,
    I am also configuring the Entry channel (org unit) for multiple company codes.
    I tried your logic of defining the entry channel outside company code level. Assigned the BUK attribute and extended attribute for plants and storage locations.
    Also in my case the local Pur org and Pur group is defined outside the company code. Is it correct?
    However the system fails to transfer the external requisition to SRM.
    SLG1 displays following error message.
    "No address found for partner function type Ship-To Address"
    So if I move the Entry channel (org unit) under any one company code level then the external requisitions are transferred correctly to SRM.
    But then the issue is the requirements are not transferred with the backend Pur Org and Pur grp. Instead they are transferred to the Pur Org and Pur grp of the company code under which the entry channel is defined.
    Can you please share how do we need to define the entry channel, local pur org and pur grp for multiple company codes scenario, so that the ECC requisitions are transferred with the correct company code, pur org and pur grp to SRM?
    Or do we need to define Entry channel for each company code and RFC user actually mapping the same backend system?
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    Regards,
    Sandeep

  • Can we assign 1 credit control for multiple company codes

    hi,
    sap gurus,
    good afternoon to all
    can we assign 1 credit control area for multiple company codes.
    if yes can any body explain the pro's and cons of the assignment.
    if no can any body explain the why?
    its urgent plz.......
    regards,
    balaji.t
    09990019711

    Yes Balaji,
    We can assign.
    Here the risk categiry and terms of one credit control area will be applicable to all company code.
    Credit Control Area
    Definition
    An organizational unit that represents the area where customer credit is awarded and monitored.
    This organizational unit can either be a single or several company codes, if credit control is
    performed across several company codes. One credit control area contains credit control
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    Use
    Credit and risk management takes place in the credit control area. According to your corporate
    requirements, you can implement credit management that is centralized, decentralized, or
    somewhere in between.
    For example, if your credit management is centralized, you can define one credit control
    area for all of your company codes.
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    area. You assign customers to specific credit control areas and specify the appropriate credit
    limits in the customer master record.
    Thanks,
    Raja

  • MT 100 DME file for multiple Transactions

    Hello
    We are not able to generate the <b>DME file in MT100 format for Multiple Transactions of the Bank Account after F110.</b>
    We are able to generate DME file in MT 100 format for a Single Transaction.
    Please suggest us if we had missed any configuration or any specific process is required to generate the DME file in MT100 for Multiple Transactions of the Bank Account after F110.
    Regards
    Srini

    Hi,
    I am just trying to give some additional information on this one. Here is a snippet from the PDF handbook.
    Option:
    SpoolBatches Enter Yes to tell the PDF Print Driver to print an entire batch of transaction to a single PDF file. The default is No.
    Please do keep in mind...
    • To create a linearized PDF file (for page-at-a-time downloading), you must set this option to No.
    • If you are using single step processing, you must set this option to No.
    In addition to this, you must also turn off the MultiFilePrint callback function. To do this, remove or comment out the CallbackFunc option. Here is an example of commenting out the CallbackFunc option:
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    You cannot generate linearized PDF files if you set the SpoolBatches option to Yes because when linearizing, the PDF Print Driver must have the entire contents of the PDF
    file in memory. Since batches can be very large, it is not practical to keep an entire batch in memory.
    Important point for your reference:
    I just went through the FAQ in the below link and understood that there are some problems when you try to create a single PDF for a batch as a whole - Acrobat Reader only display the first transaction in a PDF file which contains multiple transactions.
    FAQ Book link -> http://download.oracle.com/docs/cd/E16256_01/faq_book.pdf
    PDF Handbook -> http://download.oracle.com/docs/cd/E16256_01/pdf_book.pdf
    I did not get a chance to explore much on this. Please explore if it helps. Thank you.

  • How to schedule one report for multiple company code?

    How you can schedule reports in BW 3.5? Suppose I need to schedule one report for multiple company code, how can you do that and notify the users? I do not want to send multiple emails to the same user if the report runs for 20 times (for 20 different companies).
    points are given for ASAP replies.
    Thanks in advance
    Peter

    Dear Peter,
    Try to restrict the Company Code with  those 20 values and schedule.
    Regards,
    Ramkumar.

  • Reg : Enhacement for the transaction code MD04

    Hi experts,
    I have implemented an user exit for the transaction code MD04 where in the stock/requirement list I am supposed to add a new column for the exception number which displays the exception description for the corresponding exception number.
      The coding part for fetching the exception description for the corresponding exception number is done in the include 'ZXM61U03'.
      The problem is in the importing parameter IMDEZEXIT in which all the screen data will be present basing on which the data fetching is done .The AUSKT(Exception number) value is not getting populated . All the other data in the row is getting populated.
    Please suggest e a solution for this.
    Regards,
    Ramkishore.

    Hi
    Hope it will help you.
    reward if help.
    Please use FM MD_STOCK_REQUIREMENTS_LIST_API to get all information for transaction MD04/MD05.
    You might also want to check out the function module API.
    MD_MRP_LIST_API
    and also
    check this link for extracting data from MRP tables:
    http://www.sap-img.com/pp001.htm

  • Find active user exit for a transaction code

    Hi All,
    Please help to find the active user exit for a transaction code.
    for Ex. below is the list of user exits for package VA ( for creation of sales order and changing sales order). Let me know which user exit is active and which is not active.
      Exit name    Short text
      SDTRM001  Reschedule schedule lines without a new ATP check
      V45A0001  Determine alternative materials for product selection
      V45A0002  Predefine sold-to party in sales document
      V45A0003  Collector for customer function modulpool MV45A
      V45A0004  Copy packing proposal
      V45E0001  Update the purchase order from the sales order
      V45E0002  Data transfer in procurement elements (PRreq., assembly)
      V45L0001  SD component supplier processing (customer enhancements)
      V45P0001  SD customer function for cross-company code sales
      V45S0001  Update sales document from configuration
      V45S0003  MRP-relevance for incomplete configuration
      V45S0004  Effectivity type in sales order
      V45W0001  SD Service Management: Forward Contract Data to Item
      V46H0001  SD Customer functions for resource-related billing
      V60F0001  SD Billing plan (customer enhancement) diff. to billing plan
    Thanks & Regards,
    Sabu

    Goto TADIR table give program id as R3TR ,Objec type as CMOD and execute.
    You will get all active exits in system.
    Exits related to SD may be in ZSD package.

  • Creating a Rebate agreement doc for multiple co codes

    Hi,
    To enable settling one rebate agreement across multiple company codes.
    We have a scenario, to accomodate on Rebage agreement type for multiple company codes,
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    I think it is a standard processes, but how to execute this to get the results,pls suggest.
    Regards
    AK

    Hi Franck,
    Thanks for your prompt feedback,
    Further to the issue I would like to clarify couple of other issues related to
    the processing of one Rebate agreement for multiple company codes.
    1. This is a client requirement, which need to be addressed through
    enhancements since standard possibility is ruled out, we have tried with this scenario but sales area is a mandatory entry while creating the agreement type (Tcode-VBO1).
    2.  If it is feasible could you please provide the configuration steps for the scenario or any enhancements related to this scenario for implementing.
    Kindly explain what do you mean by IMHO?
    Regards
    AK

  • FI-STANDARD SCRIPT FOR FBCJ TRANSACTION CODE

    Hi All,
    I need to change the standard script for FBCJ transaction code, Can some one help to get the standard Script name.
    Actually i need to remove IDES and place logo.Where to configure the Custom Script.
    Thanks in Advance.

    this is the path to assign customized Sapscript for cash journal
    Financial Accounting Bank accounting Business transaction  Bill of exchange transaction Bill of exchange receivable Bill of exchange receivable Failed payment transactionMake and check settings for correspondence Define form name for cores pending Printing
    please try this i hope that this will be useful to All.
    assign Customized Sapscript in place of the standard one for CASH JOURNAL
    Edited by: NareshBD on May 12, 2011 3:13 PM

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