FF707 on FB60 t-code
Hello experts,
we have a problem with the FB60 t-code.
The error FF707 occurs when we try to post an invoice where the manual tax amount is correct, but the system advises an incorrect approximation.
We have implemented the SAP Note number 944978 but we still have the same problem.
Thanks in advance,
Regards
Vito
Hi,
Please check notes
943614
956637, 27406
or alternatively
Message FF707 can be set the message FF707 in customising:
FI -> Financial Accounting Global Settings-> Tax on Sales/Purchases ->
Basic Settings -> Change Message Control for Taxes. Appication area 'FF'.
Please assign points if it useful.
Regards
Ravinagh Boni
Similar Messages
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BAPI_ACC_DOCUMENT_POST with TAX posting for FB60 t-code
Hi Experts,
I am trying upload the data using BAPI_ACC_DOCUMENT_POST with Tax(ACCOUNTTAX) for the FB60 t-code. But not getting right.
Any help on this issue greatly appreciated.
Thanks & Regards,
HarishHi,
Check out this-
FU BAPI_ACC_DOCUMENT_POST
Short Text
Accounting: Posting
Functionality
Using this method you can create a posing in accounting for certain business transactions.
Possible ( Business Transactions):
Postings that generally only affect the general ledger. (RFBU)
Billing: For billing in Sales and Distribution, accounting is supplied with the relevant billing data. (SD00) Billing Document
Accounting can use the data of a logistics system that result from an Invoice Receipt. (RMRP)
Goods Movement are triggered by transactions in Sales and Distribution or by inventory postings. Within logistics, they lead to a change in the warehouse stocks of <DS:GLOS.Inventory Management>Inventory Management. This results in a posting in accounting. This is why accounting is supplied with the relevant data from logistics. (RMWA)
Example
Billing document:
By selling goods in accordance with targets, revenue is generated. The revenue is posted in billing and forwarded to accounting.
Invoice receipt:
Raw materials are purchased in accordance with targets. The invoice receipt is posted in a logistics system. The data from the raw materials is forwarded to accounting.
Goods Movment:
The use of raw materials leads to a change in stock in inventory managment. The posting of raw material consumption is forwarded to accounting.
G/L Account Posting:
Provision posting for an expected warranty service. This can refer to acquisitions or retirements belonging to stocks that are not in subledger accounting relevant to inventory management. This is particularly the case if such materials are not displayed as vendor/customer, materials, loans etc. or cannot be displayed in this way. This can also refer to write-ups or depreciation that contain higher aggregations of values than are maintained in a corresponding subledger that is relevant to inventory management.
The conversion of foreign currencies for receivables/payables due to large exchange rate changes that should not lead to an update of the accounts payable or accounts receivable accounting. A similar transaction can arise for the revaluation of raw materials if this revaluation takes place at a correspondingly aggreagated level.
Reclassification of inventory of P&L statement accounts that are only used for reconcilliation purposes in the general ledger (this rearranges values for balance sheet items).
Balance reclassifications of stocks to receivables with different return times.
Notes
If the parameter CurrencyAmount is filled with the currency fields, a complete document check including characteristics and value components of profitability analysis (CO-PA). Otherwise, the account assignment objects are checked.
Messages are returned in the parameter Return. In the parameter documentation you can find the return values and their meaning.
Further information
You can find further information in the SAP Library under "Financials -> Accounting - General (AC) -> Interfaces to Accounting (AC)".
Parameters
DOCUMENTHEADER
CUSTOMERCPD
CONTRACTHEADER
OBJ_TYPE
OBJ_KEY
OBJ_SYS
ACCOUNTGL
ACCOUNTRECEIVABLE
ACCOUNTPAYABLE
ACCOUNTTAX
CURRENCYAMOUNT
CRITERIA
VALUEFIELD
EXTENSION1
RETURN
PAYMENTCARD
CONTRACTITEM
EXTENSION2
REALESTATE
ACCOUNTWT
Reward if useful! -
Need Bapi or IDOC to insert data into FB60 T-Code
Hi Experts,
I need Bapi or standard IDOC to insert data in to FB60 T-Code.
Thanks in advace
KrishnaHi,
Thanks for the reply i cant find this fileds.
INVFO-ACCNT
LFA1-NAME1
INVFO-XBLNR
INVFO-XREF1
INVFO-XREF2
INVFO-BLDAT
INVFO-DMBTR
ACGL_ITEM-HKONT
ACGL_ITEM-AUFNR
ACGL_ITEM-KOSTL
Thanks,
Krisna -
How to add Special G/L Indicator in MIRO & FB60 T.Codes Headers
Hi
How to add a Special G/L Indicator in MIRO & FB60 T.Code screen under 'Amount split' tab for each line item in Header.
Client Requirement is Retention amount has to post with Special G/L Indicator 'R', because of all the retention amounts has to show into seperate G/L Account for Balance Sheet purpose.
For Eg., 1000 $ - GR Carried and at the time of MIRO 900-Vendor Dr.; 100-Vendor(R)(Spl G/L Indicator) Dr.; and 1000 GR/I R Account has to credit.
Quick action will be appreciated.
Regards
ChinnuHello!
I am focused with a similar problem. For us it is necessary to have a MIRO posting with special G/L indicator in order to set a alternative reconciliation account when we have a PO with account assignment category A. Then we have to treat it as liabilities coming from investments.
I've already tried to solve it via substitution. While debugging it seems quite OK but the result is not satisfying at all as the document doesn't show the special G/L indicator and the posting key.
So my question is if there is another user exit or a BAdI available that enables me to implement this requirement.
Otherwise we will be obliged to create redundant master data by doubling the vendors. But then it will be more difficult for our purchasing people to know exactly which vendor number they have to take in which case, and also the reporting isn't that efficient as people will have to remind to select all numbers.
Thanks in advance!
Kind Regards,
Melanie
Edited by: Melanie Hojsak on Sep 16, 2010 9:41 AM -
Calculation of Tax Issue from FB60 (Tax Code Issue)
Dear All,
Normally when we purchase or received any services we post following entry.
INVOICE VALUE IS 1000
Purchase Ac Dr 1000
To Vendor 900
T o Tax 100
But our requirement is that
Purchase Ac Dr 1100
To Vendor 1000
T o Tax 100
System should add cost of TAX in purchase instead of reduction form vendor balance as we have to give 1000 RS to vendor.
Can we create TAX code in this manner.
This is not even possible form function available in Edit Option in FB60 (Calculate tax on Net Amount)
Not even from TDS (Withholding tax)
WE CANu2019T SUGGEST POSTING JV IN THAT CASE.
Regards,
BittuApologized for that Atif.
Withholding Tax Type does not control Vendor line item.
My issue is that system should not reduce value enter in vendor amount field.
System usually reduce amount which is payable to vendor
Please see my example once again. I also mention that it is not working from Withholding Tax nor form Tax code(FTXP)
Edit option in FB60 is also not useful in this case.
Regards, -
Hi,
please can you tell any BADI or USER EXIT that are available for FB60 Transaction code.
Thanks
crahi
following exits are available
Transaction Code - FB60 Enter Incoming Invoices
Exit Name Description
F050S001 FIDCMT, FIDCC1, FIDCC2: Edit user-defined IDoc segment
F050S002 FIDCC1: Change IDoc/do not send
F050S003 FIDCC2: Change IDoc/do not send
F050S004 FIDCMT, FIDCC1, FIDCC2: Change outbound IDoc/do not send
F050S005 FIDCMT, FIDCC1, FIDCC2 Inbound IDoc: Change FI document
F050S006 FI Outgoing IDoc: Reset Clearing in FI Document
F050S007 FIDCCH Outbound: Influence on IDoc for Document Change
F180A001 Balance Sheet Adjustment
FARC0002 Additional Checks for Archiving MM Vendor Master Data
RFAVIS01 Customer Exit for Changing Payment Advice Segment Text
RFEPOS00 Line item display: Checking of selection conditions
RFKORIEX Automatic correspondence
SAPLF051 Workflow for FI (pre-capture, release for payment)
No of Exits: 13
To search for a badi, go to se 24 display <b>class cl_exithandler.</b>
double click on method get_instance, get a break point on case statement.
execute and start the required transaction in new session.
look for variable <b>exit_name.</b> It would show the available badi's.
Hope this helps
<b>if it helped, you can acknowledge the same by rewarding</b>
regards
dinesh -
FI-AP Tax Code not considering the excise duty while calcuating the VAT
Sub: A/P Tax Code not considering the excise duty while calcuating the VAT
Hi Frnds.
I have a typical problem.
Till now we are using a "W6" as a tax code, where Excise-10%, Ed Cess-2%, SEd Cess-1% and VAT-4%.
But as the Govt. rules changed I have created a new tax code "W8" by copying the W6 and modified the VAT to 5% by changing the condition record JVRD.
The new tax code is not calculating VAT part correctly. It is taxing into consideration Invoice Base value, Ed Cess & SEd Cess (Omiting the Excise Duty).
I have checked my Tax Procedure, there everything is fine. Even my old tax code "W6" is working correctly.
Let me know where the error lies.
Here is the scenario
00. Tax code - W6 - W8 - Current Staus of W8
01. Invoice Base - 355181 - 351798 - 353324 (by SAP Document Simulation View)
02. Excise @ 10% on 01. - 35518 - 35180 - 35332
03. Ed Cess @ 2% on 01. - 710 - 704 - 707
04. SEd Cess @ 1% on 01. - 355 - 352 - 353
05. VAT @ 4% on (010203+04) - 15671 - 0 - 0
05. VAT @ 5% on (010203+04) - 0 - 19401 - 0
05. VAT @ 5% on (010304) - 0 - 0 - 17719
INVOICE TOTAL VALUE - 407435 - 407435 - 407435
Pls. let me know how to come over the issue.
By the way I am using the above tax code at FB60 transaction code.
Regards
Krishna
Edited by: Gopi Krishna Gutti on Oct 17, 2011 10:18 AMHi Vivek
Acutually we planned to implement SAP - FI & MM Modules only, and all the configuration is done in the system, but at the final stage our management is not satisfied with MM area, so finally we have gone live with only FI Moudle.
By the way thankyou for the reply. I have maintained 100% in JMX1 for the new tax code and it is working fine.
I will give you full points.
Once again thanks a lot.
Regards
Krishna -
Vendor specific payment method in FB60
Hi,
We are having the requirement like below.
In FB60 transaction code. For the given vendor in payment(tab) field payment method. When we click on F4 button on payment-method pop-up should come up with the payment methods specified for that particular vendor.
ex: For vendor 100055 payment methods C and F are maintained.
So, in FB60 t-code when I click on F4 button on payment method field it should show C and F are the payment methods for the vendor 100055.
pls help me how to get this requirement...
Regards,
vinodNot resolved.
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Fb60 business place field value assign to branch field
Hi Experts,
for vendor invoice creation in fi by using fb60 t.code i am giving business place & all required fields. My requriment is that business place value assign into branch name by using j_1i7_get_bussiness_place function module.suggest how to assign & how to develop logic in this function module(in ecc6.0).
Regards,
babuThanks a lot,
I am not referring to "Business area" here, but i am looking for the "Business Place / Section Code" fields.
While doing Down Payment Request to Vendor in F-47, I want to fill "Business Place / Section Code" fields but they are suppressed.
And this field cannot be controlled through FSG / Posting Keys.
Thanks,
Pavan. -
Hi Problem in call transaction program of FB60
Hi Techies,
in my call transaction program for FB60 compnay code is defaulted in the initial screen.Every time i need to post different records with the different company codes.
when i record the company code change in FB60 through SHDB once i chnage the company code it is coming out of the recording.
pls let me know how can i continue FB60 transaction once i change the company code for further processing.
and let me know and logic to handle the compnay code when it is defaulted in FB60.
Thanks in advance
Krishna DHi,
Try this code and cross check with urs.
CASE SY-UCOMM.
WHEN '&BATCH'. "Batch Field
PERFORM F1000_BDC_MM03 USING LV_MATNR LV_WERKS.
endcase.
FORM F1000_BDC_MM03 USING P_LV_MATNR
P_LV_WERKS.
PERFORM BDC_DYNPRO USING 'SAPLMGMM' '4110'.
PERFORM BDC_FIELD USING 'BDC_OKCODE'
'=GESV'.
CALL TRANSACTION C_TRANSACTION_CALL_MM03 USING I_BDCDATA MODE 'E'
MESSAGES INTO I_MESSTAB.
ENDFORM. " f1000_bdc_mm03
&----& Form bdc_dynpro
&---- Appending the BDC dynpros to internal table BDCDATA
FORM BDC_DYNPRO USING PROGRAM DYNPRO.
CLEAR W_BDCDATA.
W_BDCDATA-PROGRAM = PROGRAM.
W_BDCDATA-DYNPRO = DYNPRO.
W_BDCDATA-DYNBEGIN = 'X'.
APPEND W_BDCDATA TO I_BDCDATA.
ENDFORM.
DATA: I_BDCDATA TYPE STANDARD TABLE OF BDCDATA,
Internal table to hold BDC messages
I_MESSTAB TYPE STANDARD TABLE OF BDCMSGCOLL.
&----& Form bdc_field
Appending the BDC FIELDS to internal table BDCDATA
FORM BDC_FIELD USING FNAM FVAL.
IF FVAL <> NODATA.
CLEAR W_BDCDATA.
W_BDCDATA-FNAM = FNAM.
W_BDCDATA-FVAL = FVAL.
APPEND W_BDCDATA TO I_BDCDATA.
ENDIF.
ENDFORM.
Tahnks & Regards,
Judith -
Steps to upload vendor invoice(tcode fb60) in bdc
hi, iam srinivas can any one plz send me the steps to upload veneor invoice tcode is (fb60).i dont want the code but i want the steps to create .
thanks and regards.
Srinivas.refer this site.
FI_AP_FBR2_Post_With_Reference (FBR2)
Business Process Description Overview
Use this procedure to copy a previously posted non-PO invoice document that uses many of the same values.
This may help reduce data entry time if used correctly. For example, the library invoice vouchers that have the same vendor but many invoices on them might be a good example of when to use this transaction code.
Trigger
Perform this procedure when there is an invoice that needs to have data entered where most of the fields are the same as a prior invoice document already entered in the system.
Prerequisites
· Security Role: AP_DIR_INV_ENTRY
· An FB60 invoice has already been data entered.
Menu Path
None
Transaction Code
FBR2
Tips and Tricks
· If you would like to save this transaction under your "Favorites" folder, right-click on the "Favorites" folder, select "Insert Transaction" and type in this t-code when the box appears.
· You may use the transaction code: search_sap_menu to search for a transaction codes menu path.
Procedure
Enter Vendor Invoice: Company Code PUR
Typically the FBR2 - Post With Reference transaction is accessed from the Financial transaction code that you just used. For Accounts Payable, typically we would use the FB60 transaction code to enter invoices that are not PO-related. After you have entered an invoice, you can now post a second invoice. Feel free to post an invoice in DEV to the Vendor ID number: 31. Choose today's date as the Invoice Date. Enter a Vendor Invoice in the Reference Field. Enter $1000 as the Amount. Enter a Text that you want to show on the remittance advice to the vendor. Choose your own GL Account and Cost Center. Enter 21010000 as the Fund. Make sure to also enter $1000 in the Amount in doc. curr. field.
Please be aware that the FB60 screenshot above is using the ZPurdue Variant so unless you are also using that same variant the order of your columns may differ.
Refer to FB60 documentation for more information regarding entering a non-PO related invoice.
After an invoice has been entered, you may proceed to step 1. If you prefer not to enter an FB60 invoice then after you open FB60, immediately do step 1, but enter "1900001354" in the Document Number field.
1. Select Goto Post with reference Shift+F9 to go to the FBR2 transaction.
Post Document: Header Data
The document number you just entered in FB60 should now display. If you did not first enter your own FB60 invoice, please enter 1900001354 in the Document Number field. Make sure Company Code is PUR and Fiscal Year is 2007.
If you did enter your own FB60 invoice to reference to, please be aware that the data entry fields will have different content in the screen shots than what you are seeing on your screen.
2. Click or the "Enter" key to proceed.
Post Document: Header Data
Because we want to avoid paying the same invoice twice, we must change the reference field to another Vendor Invoice text.
3. As required, complete/review the following fields:
Field Name
R/O/C
Description
Reference
R
Allows for further clarification of an entry by reference to other sources of information, either internal or external to SAP. Any SAP-posted document number can be used as a "reference" when entering a new document.
Example: VENDORINVOICE#2
Your reference number should be different than the one above. Otherwise, the system will think you are entering a duplicate invoice. Please change your text slightly.
Post Document: Header Data
4. Click or the "Enter" key to proceed.
Post Document Display Overview
You are now viewing the document overview screen.
5. Double-click to open that line item.
Post Document Correct Vendor item
When you open the Vendor line item, you may change the Text field here to change what appears on the remittance advice.
6. As required, complete/review the following fields:
Field Name
R/O/C
Description
Text
O
Description field for an entry.
Example: prints on remittance advice - for second invoice
Post Document Correct Vendor item
7. Click to return to the document overview screen.
Post Document Display Overview
The document overview screen.
8. Click to post this second invoice which has the same fields as the original except a different vendor invoice number and a different remittance advice text.
Information
Pending upon your user settings, you may not get this pop up box, but just a message in the bottom left hand corner of the screen.
9. Click to close the box.
Enter Vendor Invoice: Company Code PUR
Because you used the menu (Goto Post with reference) from FB60 to access the FBR2 transaction code, you are then returned to the FB60 transaction after you have posted the invoice.
10. Another way to access FBR2 is to just type the t-code in the field at the top of the screen. As required, complete/review the following fields:
Field Name
R/O/C
Description
Transaction Code
R
A unique four-character (in most cases) identification assigned to each SAP transaction based on its purpose.
Example: /nfbr2
11. Click or the "Enter" key to proceed.
Post Document: Header Data
The FBR2 transaction code opens with the last document number entered as the default.
12. Click or the "Enter" key to proceed.
Post Document: Header Data
This time we will change the vendor number
13. Change the Reference field. As required, complete/review the following fields:
Field Name
R/O/C
Description
Reference
R
Allows for further clarification of an entry by reference to other sources of information, either internal or external to SAP. Any SAP-posted document number can be used as a "reference" when entering a new document.
Example: VENDORINVOICE
Your reference number should be different than the one above. Otherwise, the system will think you are entering a duplicate invoice. Please change your text slightly.
Post Document: Header Data
14. As required, complete/review the following fields:
Field Name
R/O/C
Description
Account
R
Unique identification number. SAP uses several kinds of accounts. SAP's general ledger accounts are similar to standard in most accounting systems. SAP also uses sub-ledger accounts for customers (accounts receivable), vendors (accounts payable), and assets (asset accounts). These sub-ledger accounts roll-up to a general ledger account.
Example: 5000129
Vendor 5000129 in DEV has withholding tax applied to it in the vendor master.
Post Document: Header Data
15. Click or the "Enter" key to proceed.
Post Document Add Vendor item
If the vendor invoice date was a date in the past, the due date for pay immediately will be in the past. You may get the above informational message to alert you of the date. If you do, just hit the "Enter" key to acknowledge it.
Enter Withholding Tax Information
Because this vendor has withholding tax information in its vendor master, you will receive this popup up box.
16. Click to accept it.
Refer to the Tax Department for more information regarding withholding tax.
Post Document Display Overview
You should now see the document overview screen. If you do not, then click on .
17. Double-click OR click to open it.
Post Document Correct Vendor item
18. As required, complete/review the following fields:
Field Name
R/O/C
Description
Text
O
Description field for an entry.
Example: change remittance advice text
Post Document Correct Vendor item
19. Click to view that Vendor's Withholding tax information again.
Enter Withholding Tax Information
If for some reason, for this invoice the vendor should not have any withholdings, you would enter a 0.00 in both the W/Tax Base and W/Tax Amt fields.
When using the FBR2 to change withholding tax amounts, you need to be very careful if using this new invoice as the "reference" invoice for the next one. For example, if you put 0.00 in both W/Tax Base and W/Tax Amt fields then if this is the reference invoice, those 0.00 amounts will automatically be applied to the next; however, you won't see the 0.00 displayed. The 0.00 will be assumed.
20. Click to close the box.
Post Document Correct Vendor item
21. Click to post the invoice.
Post Document: Header Data
Your new document number will display in the bottom left hand corner. Pending upon your user settings, you may also get a pop up box to acknowledge.
You have posted another invoice, but this time you changed the vendor ID used, the vendor invoice, and the text on the remittance advice.
Notice that the "Document Number" field now defaults to the newly posted invoice number.
Because you entered FBR2 in the transaction code field to access this screen, when you post an invoice you are returned to the beginning of the FBR2 screen. Remember, when you accessed it from the menu line of FB60? If you access it that way, you are then returned to FB60 after the Post with Reference document is posted.
22. Because you are returned to the start of FBR2 again, you may just click or the "Enter" key to proceed.
Post Document: Header Data
Now you are at the start of entering a new invoice again.
23. Click to return to the main menu without finishing the process of entering another invoice.
24. You have completed this transaction.
Result
You have posted two documents by using a reference document. This reduced the data entry required since it defaults the fields from the reference document.
Comments
Be very careful using this transaction if you change withholding tax amounts.
To see the results/calculations of discounts and withholdings, you must run F110, the Payment Program.
http://www.purdue.edu/onepurduehelp/content/fi_ap_fbr2_post_with_reference/wi/html/index.htm
Message was edited by:
Karthikeyan Pandurangan
Message was edited by:
Karthikeyan Pandurangan -
Is doing configuration for FB60 using customer field a core mod?
Hello,
For our project, a customer field 'ZZAPPROVER' was added in FB60 transaction code.
It is possible through configuration through the following path:-
SPRO --> Financial Accounting (New) --> Financial Accounting Global Settings (New) --> Ledgers --> Fields --> Customer Fields --> Edit Coding Block --> Customer-Defined Account Assignments --> Customer Include Structure
This basically added the customer field 'ZZAPPROVER' to the include structure CI_COBL.
The important point to note here is that it adds to BSEG table too.
Now the business is asking whether this is considered as a core modification to SAP.
Can anyone update where it is a core mod or not, and if there is any documentation to prove this?
Your comments are highly appreciated!
Regards,
Sanjiv JanardhananHi,
The adding of additional Customer field is available from ECC 6.0 onwards. This is a standard functionlity to enable the customer to add their own fields for better reporting. But SAP cautions that it is better to take backup before doing this addtioin. No posting transactions shall be performed while you are including the customer field. SAP recommends using the u201Clightu201D mode. For this, you only need to make the following entries so that all necessary changes to the dictionary and to the tables are performed automatically in the background:
● Collection (package)
● Field name
● Field description
● Data type
Character field (CHAR)
Character field with digits only (NUMC)
Trust this helps much!
Cheers! -
Valiadation for withhoding tax code
In T-code Fb60 i want validation for withholding tax code
Because there are four w.tax code for four diffrent location and same code maintain in one vender master. All of four w.tax code which is showing in fb60 t-code w.tax tab but i want to put base amt in only one w. taxcode which respective.
how can i made validation to avoid wrong w. tax code base amount in gbb0 ?Hello,
The validation is not suitable for your requirement.
It is standard way of SAP functioning. It is the users responsibility to see that are they are putting right tax code.
If you restrict the tax codes in validation, then the users cannot use other codes. (if you put as error message)
In my opinion, you may have to reconsider the requirement.
Regards,
Ravi -
Authorization for Document type in FB60.
Hello everybody,
On executing FB60 transaction code, i want to control the document type entry means
we have basically 2 types of document V1- Pune vendor bill and V2 Mumbai Vendor bill.
I have to give V1 document type authorization only for pune location user and V2 for Mumbai location user.
I had check the object in FB60 but I can't find the authorization object for document type.
I tried by creating test role name z:test and assign transaction FB60 in that role. when I assign this role to
test user he can post both the document type invoice.
So please suggest me how to give the authorization for the V1 and V2.
ThanksHello Ganesh!
I believe that authorizations object F_BKPF_BLA is what you're looking for. To use it, however, you will first need to define an authorization group for document type you want to protect. This is done in transaction OBA7; select the document type you want to protect, go into details view and define a value for "Authorization Group" field (this is freely defined, you can enter any value you want).
After you've done this, a check will be performed on auth. object F_BKPF_BLA with the authorization group value you defined for the document type and activity.
(I've never implemented this in our system, but I'm fairly certain that this will work.) -
Hi,
I would like to do the Invoice posting by modifying the tax base amount and tax amount(as against system computing on its own) through FB60 transaction code. Is there any suitable bapi I can use to achieve this scenario. I am not sure whether we can use the BAPI_ACC_DOCUMENT_POST to solve this.Please suggest.
Thanks,
RamHi,
Yes. You can use the BAPI BAPI_ACC_DOCUMENT_POST to post the vendor Invoices. Use the below tables parameter structures of BAPI.
ACCOUNTGL LIKE BAPIACGL09 G/L account item
ACCOUNTRECEIVABLE LIKE BAPIACAR09 Customer Item
ACCOUNTPAYABLE LIKE BAPIACAP09 Vendor Item
ACCOUNTTAX LIKE BAPIACTX09 Tax item
CURRENCYAMOUNT LIKE BAPIACCR09 Currency Items
Fill the corresponding structures for line items and call this BAPI.
Regards
Gangadhar
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