FBL3N Line items

Hi Viewers,
At the time of upload, I have uploaded the line items for a particular GL account which is not having line item display. After that I have activated the line item display.
When I check the balalnce in the FS10N with the Trial balance both the amounts are tallying.
At the same time when I check the balance in FBL3N it is not tallying, only one line is coming which I posted after activating the line item display.
I would lile to know is there any other way to bring the documents which i have uploaded without line item display in Production
Thanks
Aswin.

Hi,
Run the program RFSEPA01for the respective account & documents.
Regards

Similar Messages

  • FS10N balance not tie with FBl3N line item totals

    Hi
    I searched the forum for posting on FS10N and FBL3N incorrect balances and I did not any post appropriate for my issue. Hence I am posting my issue here.
    For a particular month, say 072010, FS10N GL balance does not tie with FBL3N line item totals. I am not sure why. In our case, we did not archive any line items and this is not related to year end carry forward. Year beginning GL balances look fine. We dont have any negative postings. Only few GL balances are off. We are using 4.7 version.
    Do you know why this inconsistency and how to rectify it? Is there any program which I run apart from Yead End carry forward?
    any ideas really appreciated.
    Thanks

    Hello
    We have already this trouble.
    To correct it you need to proceed like this (when NewGL is not activate, with new Gl there is one new programm)
    Without newGL
    - Block account to be posted (transaction FS00 Block for posting in the company view)
    - Delete open item, by using the programm RFSEPA03 (you need to adapt it by a copy because if you don't you can't run it), also this programm will unflag your account in the company view
    - Delete line item by the standrd program RFSEPA04
    - Create the line item by the standard program RFSEPA01
    - if this account is managed by open item, run the programm RFSEPA02 (you need to do the same adjustement of the RFSEPA03)
    With NewGL, there is something new. the program RFSEPA02 is linked with a new transaction and you don't have to adjust it FAGL_ACTIVATE_OP. The difference is when you create the open item, you have to define the default profit center and default value depending of the customizing of the leading ledger.
    BBest regards
    Philippe,
    Thanks for the rewards.

  • Wip gl account amount and fbl3n line item gl account not matched

    hi sap gurus
    Cound any solve this error
    i got one error at the time of wip calculation i.e., during settlement of order, the wip gl account amount and the FI line item gl account amount i.e., in fbl3n line item the wip gl account shows the differnt amount.
    now my question is why system shows like that Plz any one tell me the solution.

    SAP Note says 968812
    There are various reasons for verified differences:
    1. You made direct FI postings to material balance sheet accounts.
    2. In MM account determination, balance sheet accounts are used for operations other than 'BSX'.
    3. Material documents exist that have no FI follow-on document, even though they should.
    4. There are FI documents or other accounting documents but the source document in materials management is missing.
    Solution
    (Point 1)
    The amounts from these postings do not have any equivalent in the material valuation and therefore cause the MM/FI differences. You must cancel the corresponding postings in FI. You must then set the 'Post automatically only' indicator (XINTB) in the account master record (fs00).
    (Point 2)
    In MM account determination, material stock accounts can only be assigned during operation 'BSX' because only these postings update the material valuation. Postings from other operations, such as price difference (PRD) or revaluations (UMB), lead to MM/FI differences. The balances resulting from this must be transferred to other accounts in FI.
    (Point 3)
    Your system contains active customer enhancements (user exits, customer exits, BAdIs) that cause an additional 'COMMIT WORK' statement to be processed. This is not allowed and results in inconsistencies. The incorrect documents can be corrected by SAP Remote Consulting (SAP employees should refer to internal Note 941721).
    (Point 4)
    This case is identical with case 3. However, usually it is not a 'COMMIT WORK' statement that is responsible but a 'ROLLBACK WORK' statement in the customer source code. In particular, method MB_DOCUMENT_BEFORE_UPDATE in BAdI MB_DOCUMENT_BADI creates a ROLLBACK without program termination and an incomplete document because the documents in accounting are created after the BADI. Therefore, a ROLLBACK must always be accompanied by a program termination.
    The MM document cannot be regenerated. The accounting documents must be deleted. This can be initiated by a message (which may be subject to charges) on component FO-GL-GL-X. See also Note 636442.
    (General)
    If the cause of the problem is unclear, SAP support can run an analysis. In this case, first implement the additional reports from Note 32236 in your production system.

  • FBL3N Line Item Report

    Hi Everybody,
    I want the display of Network /Activity coloumn for the line items posted on some network.I checked in
    standard report FBL3N here i can able to select the WBS element coloumn to change the existing layout
    but there is no option for selection of  Network here.
    My question is by selection of what i will ger network details on line items in this FBL3n report.
    Is there any other report which will give the Network details of each line item.
    I want to see  which line item is posted on which network activity.
    Regards
    Deepa

    Hi Deepa,
    The standard line item display FBL*N is not able to show the
    VORNR. But it is possible to use the open fi event 1650 (TA FIBF) to look up for the fields AUFPL and APLZL and to convert it into VORNR.
    The note 368310 describes the using of the event 1650 to display the long text for special G/L transactions. You can use this note as a pattern to derive the VORNR.
    Please use the following steps as below:
    1. Extend structure RFPOS and RFPOSX with field VORNR
    2. Creation of a function module which converts the fields AUFPL and  APLZL into VORNR.
       function module for conversion:
          call function 'CO_SF_AFVG_CHECK_WITH_KEY'
               exporting
                  aplzl     = i_postab-aplzl
                  aufpl     = i_postab-aufpl
               importing
                  vornr     = e_postab-vornr
               exceptions
                   not_exist = 4.
    The fields APLZL and AUFPL are available for customer and     vendor accounts (KOART = 'D' or KOART = 'K') but not for G/L account. Therefore you must select it from table BSEG to get AUFPL and APLZL.
    After the conversion move the field into E_POSTAB-VORNR.
    3.  Activation of the open fi event 1650.
    4.  Create a suitable ALV-Layout which contains the new field VORNR.
    Assign points if it useful.
    Regards
    Ravinagh Boni

  • FBL3N - line item visible both as open item and as cleared item

    Hello,
    Please can you tell me possible reasons for which I see the same line item in FBL3N as an open item when I check "open items" and as cleared when I check for "cleared items".
    Thank you !
    Daniel N.

    There is a small correction:
    It is not partial it is residual.
    In case of partial your original document will be intact - Open items will show debit, credit and the balance.
    In case of residual, your original amount will be deducted and a new entry gets posted as if there is a new transaction. For example from 100 USD if 40 USD has been cleared, then two line items will be shown in 40 as cleared items and a new line 60 will be generated in open items 60. But, this 60 will have different document number.
    I think there is some issue the way in which selection criteria has been selected.
    Please do not see the open items at a key date. Because that date it might be open item, later at a stage it might have become a cleared item.
    Do not restrict any dates and see the total items (cleared items and open items) and let me know if the same document is showing as cleared as well as open. This is more unlikely and I have not seen.
    Regards,
    Ravi

  • Not to seen reversal doc in fbl3n line item level

    Hi ,
    We have posted doc and reversed it ,but we are not able seen reversal doc in fbl3n but at the same time we can able see orginal doc .
    line item also activated for that GL account.
    Your intime responce is highly apprecated
    Thanks
    Seshu

    Hi ,
    we can able see reversal doc in fb03 and also this is there in FS10N also but it's not there in FBL3N and when we select in line item level in fs10n it's saying no line item possible for this doc .
    we can able see original doc but not reversal doc in FBL3N
    More over this gl also activated line item disply
    Thanks
    Seshu
    Edited by: vyshnava_sesh on Jun 1, 2011 4:52 PM

  • Vendor field empty for RE line items in FBL3N

    dear all-
    I'm experiencing a strange situation. Instead of using the MM-report, I want to do a GRIR analysis in FI. When I run FBL3N for the GRIR account I see that for the goods-receipt related documents (doc type WE) field like puchase order and vendor number are populated (and contain a value). However for the line items that come from the invoice the field purchase order is filled but the field vendor is blank.
    I did have a look at the BSEG table for the WE- and RE-related documents: for all line items of the WE document (goods receipt) the fields purchase order and vendor contained a value, for the RE document (invoice receipt) all line items have a value for purchase order but only the first line item (vendor line) has a value for the field vendor. On all the other line items the vendor field is blank.
    Looks pretty strange to me, who has a good solution?
    thx
    Ben

    hi Vishal-
    Thanks for the BSIK, BSIS tip!
    In the meantime I did find report RFWERE00. I was able to generate a list that indeed showed the vendor number on the GRIR account both from the GR- and RE-document. Didn't have time yet to go over the code to figure out where this report gets its data from.
    The report offers options to do actual clearing and do postings ... I'm not interested in that. Only in the list. I have a start now ...
    ... If you have another I idea that prevents me from creating a customer report ... I'm eager to hear it!
    rgds
    Ben

  • Line items are not showing in fbl3n,fs10n,faglb03,fagll03

    hi experts,
    i am facing a problem to see the line item of inter unit clearing a/c. i am not able to see the line items in fbl3n,fs10n,fagll03 and faglb03. system response is "You have stored account 300000 in company code L001 as a clearing account. At the same time, you use line item management with this account" and"Error message issued because line item display cannot read data for an account in a ledger if line items exist partially in the entry view together with clearing items for which there are no line items. In such cases, only the data with line items would be selected"
    i do not understand the system response. can anyone please help me to solve this problem?
    thanks &regards
    konishko

    sir
    thanks for your reply. as per your suggestion i am trying to change in fs00 to uncheck the line item management but  i am unable to do that,system shows that i have to uncheck the open item managemt also but the said account contain the open item. so i am not able to change the same. is there any other way to do that. can you please suggest me in detail? and one more thing that i am able to see only the balaces in fs10n. but not able to see the line item.this is probably for missing the business area in line item.
    but i needs to see the line items.
    can you please tell me any alternate way in detail to solve this problem?
    thanks and regards
    konishko

  • Line item not displaying thru fbl3n

    Hello Dear,
    I am not able to see my posting document thru f-02 thru t.code fbl3n. I have checked the master data of the gls there is already tick in line item display. For it i run a programe that is RFSEPA01,  after running this programe i am able to see my posted document but not current post document.
    Pls help it is very urgent.
    Thanks in advance

    Hi,
    Although the question is not clear.
    But before running the program, you must block the questioned GL account for posting and run the program and again unblock the same and execute FBL3N report.
    Still , if you are not getting lines in FBL3N report, please check whether your new doc has line items in table BSEG or not thru SE16.
    Regards,
    Srinu

  • Vendor name not showing correctly in TDS GL line item display fbl3n

    Hi Gurus,
    I am facing an issue in regards to TDS. As you know that normally we make a cheque payment to a vendor, we issue one cheque for one vendor.
    But my client follows a slightly different practice. Suppose they have to pay an amount of 30000 to three vendor A B C equally 10000 each. They right a self cheque to the SBI bank and also send them the list of these 3 vendors who are also having their account in the same bank. They instruct the bank to take money from their  account and then credit in the respective vendors account.
    Now the transaction goes like this:
    Vendor A   10000
    Vendor B    10000
    Vendor C   10000
        To Bank                 29700
        To TDS on A              100
        To TDS on B              100
        To TDS on C              100
    Now when the user will go to FBL3N and check the TDS GL 100020196 and see the line items it should show like as per the client:
    Vendor A       100
    Vendor B       100
    Vendor C       100
    But it shows the below result:
    Vendor A   100
    Vendor A   100   ( should be vendor B)
    Vendor A   100   (should be vendor C)
    I believe that is the standard behavior of the system to show the vendor line. They do not want to change the way of their posting and their concern is if it shows like the same at the time of return filing how will know vendor wise tds.
    Now either I need to resolve this situation in FBL3N or give them a report which should give them Vendor wise TDS information for the TDS filing.
    J1INMIS report is there but it shows only the TDS and the vendor number, it does not give the vendor name. I either want a solution of this issue in FBL3N or a report which shows vendor wise TDS with vendor number and name. Please let me know if there is a solution to this issue.
    Kindly consider this very urgent.  I am attaching the relevant screenshots.
    Thanks
    Urmila

    Hi
    Unfortunately there is no report in SAP other than J1INMIS which caters to Indian reporting requirements. You can think of enhancing the same.
    Also check your enhancement for FBL3N as to why it is not working as it should with the help of your ABAP Colleagues. It is not displaying the name correctly.
    Thanks & regards
    Sanil Bhandari

  • Urjent-how to add line items in tcode-FBL3N

    Hi Experts,
      How to add line items customer, customer name,  vendor and vendor name in FBL3N.
    Thanks in advance.
    mahe
    Moderator message - Please do not use words like "urjent". Please ask a specific question. Please search the forum. This question has been asked and answered before. Post locked
    Edited by: Rob Burbank on Apr 29, 2009 11:27 AM
    Edited by: Rob Burbank on Apr 29, 2009 11:28 AM

    Hi,
    Check the BTE's:
    00001020     POST DOCUMENT:       Prior to final checks             SAMPLE_INTERFACE_00001020
    00001025     POST DOCUMENT:       Final checks completed       SAMPLE_INTERFACE_00001025
    00001030     POST DOCUMENT:       Posting of standard data     SAMPLE_INTERFACE_00001030
    00001050     POST DOCUMENT:       Accounting interface           SAMPLE_INTERFACE_00001050
    Thanks & Regards,
    Harish

  • G/L Account Line Items/ Profit Centers/ FBL3N/ F.5D/1KEK/KE5Z/BalanceSheet?

    Hi Experts,
    Am running FBL3N-G/L Line Item Display, and am trying to get PROFIT CENTERS for Balanace sheet type of accounts, but Its not showing up.
    But, am getting for Profit Loss accounts.
    1) Why its so?
    2) Then How to get the PROFIT CENTERS for them? (I know they r available, in BSEG)
    3) Functional owner said(tele talk, no voice clear!!!) that, the Profit Centers are NOT get updated UNTIL month end, unless run the F.5D, 1KEK, KE5Z tx.s., which inturn system copies the profit centers(I dont know that, From where it copies) and posts/updates(I dont know, Wht get updated?), so, he said, relying on ??(is it BSEG??????) is not works out!!
    So, let me know that,
    Wht does its mean? Wht NOt get updated until month end?unless run the F.5D, 1KEK, KE5Z tx.s? Is it DataBase? BSEG?
    4) Is BSEG table get updated, as soon as any FICO document ceated by user? I mean, Can I relay on BSEG always, for pulling the profit centers data for Balance sheet accounts, all the time?
    5) If NOT, them Where Can I find them?
    thanq

    Hi Srinivas,
    You have to declare balance sheet accounts as relevant for PCA inside 3KEH transaction in config. So you mark the balance sheet accounts that should appear in PCA in 3KEH with a default profit center which can be overwritten with the use entry.
    Fixed Assets, AR/AP and WIP can be transferred into PCA at the monthend. PCA is a separate ledger, has its own set of tables and reports. Inventory and other balance sheet accounts are posted into PCA online.
    Hope this helps.
    Sharabh Ivaturi

  • G/L Account Line Items/ Profit Centers/ FBL3N/ F.5D/1KEK/KE5Z/Balance Sheet

    Hi Experts,
    Am running FBL3N-G/L Line Item Display, and am trying to get PROFIT CENTERS for Balanace sheet type of accounts, but Its not showing up.
    But, am getting for Profit Loss accounts.
    1) Why its so?
    2) Then How to get the PROFIT CENTERS for them? (I know they r available, in BSEG)
    3) Functional owner said(tele talk, no voice clear!!!) that, the Profit Centers are NOT get updated UNTIL month end, unless run the F.5D, 1KEK, KE5Z tx.s., which inturn system copies the profit centers(I dont know that, From where it copies) and posts/updates(I dont know, Wht get updated?), so, he said, relying on ??(is it BSEG??????) is not works out!!
    So, let me know that,
    Wht does its mean? Wht NOt get updated until month end?unless run the F.5D, 1KEK, KE5Z tx.s? Is it DataBase? BSEG?
    4) Is BSEG table get updated, as soon as any FICO document ceated by user? I mean, Can I relay on BSEG always, for pulling the profit centers data for Balance sheet accounts, all the time?
    5) If NOT, them Where Can I find them?
    thanq
    Edited by: Srinivas on Apr 7, 2008 3:42 PM

    no repy

  • Line item missing from FBL3N report

    Line item is missing from FBL3N report. I am selecting correct parameters for FBL3N report.
    The correct balance is shown in the FS10N report.
    I have checked the document, it is not reversed.
    Can anyone please tell me the reason for the same?

    HI ,
    If its related to 2009 and are you sure that you have selected fiscal year or date in which that document falls .
    Can you Do one thing Please go to Dynamic selection of FBL3N and put that document number in Document number field and then find out whether that documents  come or not .
    if it does then please look at posting date and GL accounts etc for that  and check the header data as well.
    May document is related to different company code .
    One more thing Please check when you run FS10N display line item can you see document there if you can then definatley you will be able to see .
    Please attached the screen shot of document with header data .
    Many Thanks
    Regards.

  • No line item display in FAGLL03 & FBL3N GL line Item reports

    Dear All,
    I have parked the customer invoices with normal customer recon account and with special GL indicators. The system do not display parked lines for Special GL indicators. How can i display the line item display information in FAGLL03 and in FBL3n report.
    Following settings have already been made are;
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    2. In initial screen for FAGLL03 & FBL3N Selection: Parked Items Parked items are displayed and checked.
    The  only information for parked special gl line items is get through FBL5N report only.
    Kindly suggest in there any way that we can get report from GL line Item reports???
    Regards

    Some how client do not want the functionality

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