Filling a workflow table container

Hi,
forgive me if my terminology is not correct but I'm new to workflow development.
I'm trying to fill a workflow table container and when I run my code through debug it seems as if it will work ok. As I step over the 'swc_set_table' container macro, if I view the data in 'container', all seems ok. However, when I run to completion from this point and go back to the SWO1 screen, my attribute is not filled.
I'm not sure if I'm maybe missing a step. Can anyone advise please ?
thanks.

Hello Arun
You are getting this error because Currency Exchange Rate is not being loaded to your system for INR. Ask FI team to maintain this.
Reward points if it is helpfull.
Thanks
Tripple k

Similar Messages

  • Remove the contents of the table container in workflow

    hi,
    i want remove the contents of the table container in a method in workflow.
      how can i doit. anyone pls send me the syntax.
    after removing the old contents then i want to insert new values to that table.
    Thanks
    Sankar

    hi,
    i want to refresh the container in workflow.
    anyone pls tell me.
    Thanksin advance.
    sankar.

  • Extraction Problem- while filling the setup table

    Hi all,
    I have a problem when i  fill the setup table for LO cockpit Extraction on any SD datasources (2_LIS_VAHDR,2lis_13_vdkon etc.,). i am done with LBWQ successfully. i also verified the datasources in RSA6. They are in active status in RSA7-delta queue.
    After i submit the request to fill the setup table, i am getting
    "datasource 2_LIS_VAHDR contains data still to be transferred". if i check the extract checker (RSA3) i am getting the error msg "data source is not defined in the source system"
    Can anybody help me on this?
    one of my friend suggested that it could be the reason that some jobs are in active status that loads/updates data into base tables which the datasources refers.
    Any idea on the reason and resolutions?
    Greatly appreciated !

    Hi Vijaya,
    We too got the same Error : " the datasources are not defined in the source system".
    This is source system connection problem.  Check whether connection between R/3 and BW is active.
    This error occurs when the connection is inactive.
    Also, if it is copy client, then check data exists in other client. If so delete the setup tables data in that client as well.
    This will resolve your issue.
    Thanks
    Edited by: Allen Fyne on Aug 9, 2008 6:47 PM

  • Problem while filling the Setup Table for the DS 2LIS_02_SCL.

    Hi All,
    When I am trying to fill the Setup table for the DataSource 2LIS_02_SCL and only for one specific Purchase Order, it is showing me a message like
    u201CDataSource 2LIS_02_ITM contains data still to be transferredu201D
    I have deleted the Setup Table and I want to delete the entries from SM13, but I do not have Authorization.
    Also, here I am trying to fill the Setup Table for 2LIS_02_SCL and not for 2LIS_02_ITM, but the message displayed above is showing as 2LIS_02_ITM DataSource. I think the Setup Table will be same for both the DataSources.
    Waiting for your valuable inputs.
    Thanks in Advance.

    Hi,
    When you want to fill the setup tables first you need to delete setup tables to avoid the duplicate entires in setup tables ( you can delete the setup tables by using t.code LBWG with application no is 02)
    In your case, the data souce is 2LIS_02_SCL for purchasing.
    when you want to delete the setup tables by using t.code LBWG with 02 application no it will delete all the purchasing related data from all the data sources like
    2LIS_02_SCL
    2LIS_02_ITM
    Before the deletion of setup tables you need to clear the delta Queues and stop the V3 jobs, which loads the data to Delta Queues (RSA7) and Update tables(LBWQ).
    you need to run the V3  jobs manually by using LBWE > Job control > and schedule the jobs until the delta queues will get 0 records. that means no data will be available in RSA7 and LBWQ
    go to SM37 to see the jobs LIS-BW-VB_APPLICATION_02,
    once the delta queues gets 0 records by running V3 Jobs manullay.
    Then remove the released state jobs > remove from schedule means delete the jobs in LBWE > Go to job control > you can delete the released jobs.
    Becuase No postings to be done in application tables, while running setuptable filling you should take some down time to fill the setup tables.( OLI*BW)  *=Application number.
    Once you clear the Queues and delete the v3 jobs, then you need to fill the setup tables after deletion of setup tables.
    once you fill the setup tables , by running intialization to BW side the delta Queue is formed for the data source in R3 side
    Now the postings can be done in R3 side, so you need schedule back the V3 jobs, which you already delted from LBWE to load the data from application tables to RSA7 or LBWQ.
    I hope this may help yoou.
    Regards.
    Rambabu
    Edited by: Rambabu velanati on Jun 9, 2010 4:41 PM
    Edited by: Rambabu velanati on Jun 9, 2010 4:52 PM

  • Error in Workflow Multiline Container

    I'm facing with two error during implementing multiline container: "Agent determination for step '0000000002' failed" and "Result of agent resolution does not agree with agents of task".
    What I've done is:
    - "AGENTS" container created which refer to USR02-BNAME. In the properties tab, I checked the multiline check box. The contents of this container is coming from method in the main workflow. In the workflow log, I saw this container filled correctly. Its contain 2 line of user id.
    - I have subworkflow-2 that I set as multiline element in tab "other" and filled "AGENTS" container in that field. This subworkflow contain only one task that need to be executed by many user. The binding from previous subworkflow to this subworkflow-2 is: &AGENTS[&_WF_PARFOREACH_INDEX&]& --> &AGENTS1&
    "AGENTS1" is single container which refer to USR02-BNAME.
    - The binding from subworkflow-2 into task is: &AGENTS1& --> &AGENTS1&
    When I executing this workflow and checked in the workflow log "AGENTS1" container is filled with "000001" same value with container WfParForEach_Index.
    Hopefully out there can help me on this issue.

    Hello,
    I have the same problem. I've found this link http://mailman.mit.edu/pipermail/sap-wug/2008-March/028123.html where a possible solution is detailed.
    I have planned to  made test on it in next day.
    Regards,
    Corrado.

  • Problem about fill set up table

    Hi all,
    I got a problem when I run the fill set up table for sales billing data source. what I did is:
    first delete the setup table then oli9bw->type in a sales document no.(as I only want this order data), then give a run name, last execute, but I got the message as follow:
    Data source 2LIS_13_VDITM contains data still to be transferred
    Could you pls explain what this means, and what should I do to solve the problem
    Thanks

    Set up table definition
    Setup table is store the historical data, where as the delta records are updated in delta queue not to set up table.
    So once historical data is loaded you can delete the contents of the set up table.
    name is extract sturcture of your data source + setup
    also data is taken from setup table when an init / full/ full repair load is done.
    so in order to take ur records from the table delete the setup table(LBWG) and initialize it with ur records.
    You can find the contents SE16
    Filling set up tables
    transac LBWG
    + SBIW -> Logistics -> Managing Transfer Information Structures-> Setup of Statistical Data-> Application-Specific Setup of Statistical Data
    set up tables
    Set up tables
    Set up tables
    view of set up tables data in se11??????????
    Set Up tables..
    lo: delete set up tables: DOUBT
    LBWQ is the extraction queue and RSA7 is delta queue. Data is sent to delta queue from extraction queue through collective job scheduled in transaction LBWE.
    when we want to extract the data using LO Cockpit, the data will be come to the extraction queue first and from there it will processed to the delta queue. SO lbwq works as a outbound queue.
    If the update mode is Unserialised V3 then as soon as the document is posted it comes update table which you can see in Tr. Code SM13. After the jonb is scheduled the records come to RSA7 i.e delta queue from which BW pulls the data
    If you use u201CQueued Deltau201Dupdate method then the data moves to Extraction queue(LBWQ). Then run Collective update to move the data from LBWQ into Delta Queue (RSA7). Then schedule the data using the infopackage by selecting Delta Load in the update tab.
    So in If you are going to do Setup table filling, delete the data from LBWQ.
    The usage of Extraction queue(LBWQ) comes in to picture in delta loading. But actually system starts collecting the data (whenever there is document creation in R/3) after activating the EXtraction structure.
    Steps to Be Performed
    We know that there are 4 types of delta extraction that are available in LO. If you use u201CQueued Deltau201Dupdate method then the data moves to Extraction queue(LBWQ). Then run Collective update to move the data from LBWQ into Delta Queue (RSA7). Then schedule the data using the infopackage by selecting Delta Load in the update tab.
    Here is Roberto's weblog:
    /people/sap.user72/blog/2005/02/14/logistic-cockpit--when-you-need-more--first-option-enhance-it
    /people/sap.user72/blog/2004/12/16/logistic-cockpit-delta-mechanism--episode-one-v3-update-the-145serializer146
    /people/sap.user72/blog/2005/01/19/logistic-cockpit-delta-mechanism--episode-three-the-new-update-methods
    check this out...
    LBWQ - T code is for what?
    Ttransaction LBWQ
    What is LBWQ?
    Assign points if it helps
    Hope it helps
    regards
    Bala

  • Set up table contains the enhanced field information?

    Hi Experts,
    I am enhancing a field in the datasource 2lis_11_vaitm,
    Things i did :
    1.Enhanced the ext.structure with the required field.
    2.Activated the ext.structure.
    3.Witten the logic in the CMOD.
    4. Deleted the Setup table and refilled.
    Now my question is :
    1.Did the setup table contains the ENHANCED FIELD with the historical data ?if so where to see that?
    I checked in RSA3 the enhanced field is displayed with the records.
    The code i have wriiten is WHEN "DATASOURCE " then -> logic from the base table.
    Now will the data come from the base table or from the setup table?
    Can any one help me in this issue.
    Best Regards
    Jelina

    Why do we need to delete the setup table after doing enchancement with standard Datasource.
    Ans :
    You neednot refill the setup table just because you enhanced the datasource.
    You need to delete and refill if the postings happened after you filled the setup table.
    Meaning you will miss the current posting.Unless you have done a init in BI/BW side.
    Hope this helps.

  • Fill dynamic internal table with data from another dynamic table

    Hi,
    I have a huge dynamic table with a few columns and need to fill another dynamic table with some of the columns, that are also existing in the other one. I first know at runtime, which fields the smaller table contains.
    Until now, I did it that way:
      LOOP AT <it_tab_structure> ASSIGNING <wa_tab_structure>.
        LOOP AT lt_comp_full INTO ls_comp_full.
          ASSIGN COMPONENT ls_comp_full-name OF STRUCTURE <structure> TO <column>.
          ASSIGN COMPONENT ls_comp_full-name OF STRUCTURE <wa_tab_structure> TO <value>.
          <column> = <value>.
        ENDLOOP.
        APPEND <structure> TO <table>.
      ENDLOOP.
    lt_comp_full contains the columns of the second table, that have to be filled.
    This is taking a very long time, as there can be a lot of columns in the source table and the source table contains at least 100000 records.
    Is there therefore any way to fill the other table faster?
    Thank you & best regards,
    Michael

    Hey Sharath,
    thank you for your answer! Unfortunately I don't have a 7.4 system here, but your example pointed out, that I can also use move-corresponding from one structure to the other, which I thought, was not possible. I'm trying out, if this makes it faster now.
    I'll let you all know, if this made the deal.
    Thank you & best regards,
    Michael & Arne

  • Change Workflow-Instance-Container values

    Hi Experts,
    I would like to ask you how to change a value in a container of a Workflow-"Instance".
    For e.g.:
    I have a workflow-instance which contains a (bor-) Object "Switchdocument". This switchdocument contains also a (Bor-) Object "serviceprovider". And I would like to change the value of the parameter of "serviceprovider".
    How is the relationship between the "father"-object and the "child"-object and where are the relationship saved?
    I know the table "sww_cont" and "sww_contob". But these tables are not enough, aren't?
    Because in the mentioned tables (sww_cont) I see the elements with their values of the container of the workflow-instance. I don't the elements with their values of the object (father-object) contained in the workflow-instance-container and also not the elements with their values of the object (child-object) in the father-object.
    or (explanation as a list)
    Workflow-Instance-Container:
    1.element
    2.element
    3. Switchdocument (object)  (father-object)
    3.1 element of switchdocument
    3.2 .....
    3.3 Serviceprovider (object) (child-object)
    3.3.1 element of serviceprovider  <--- here I would like to change the value
    I hope I explained the situation in a detail way
    I apologize if I don't use the right terms!
    If anyone has a hint or a way to get to the "child-object" I would be very thankfull.
    Thanks a lot for your answers in advance!!!
    with lovely regards.

    Hi all,
    at first I thank you all for your answers!!!
    As I understand the values are permanently saved in the subobjects. Like I said the subobject (Distributor) with the attribute, e.g. Serviceprovider in Own System = 'X' is contained in the Object Switchdocument.
    That means for me that I have to retrieve the attribute of the subobject via a method for the special instance and change it, e.g. to set it blank.
    I have forgotten to say that I am developing a report (se38) to change all attributes of workflow-instances with object/subobject.
    As I said above in a condition step it is asked whether a "serviceprovider is in own system". if yes (means = "X") then the process has another way. And I have to change the "X" to "blank", so the workflow goes always the, in my case, second way.
    For the next time, I will explain my problem in a more detail way
    Thanks again.
    with kind regards!

  • Difference in workflow tables for the versions 4.6C and ECC

    Hello,
    Could someone please let me know as to what changes have been made by SAP in the workflow tables from 4.6c to ECC version?
    Thanks,
    Samson

    Hi
    Check these Tables
    SWW_OUTBOX - Lists Workflows in outbox together with status
    SWW_CONT - Container Contents for Work Item Data Container
    SWW_CONTOB - Container Cont. for Work Item Data Container (Only Objects)
    SWWLOGHIST - History of a work item
    SWWORGTASK - Assignment of WIs to Org.Units and Tasks
    SWWUSERWI - Current Work Items Assigned to a User
    SWWWIHEAD - Header Table for all Work Item Types
    SWW_WI2OBJ - Workflow Runtime: Relation of Work Item to Object
    Regards,
    Surjith

  • How to fill a hashed table ?

    Hi,
    In my last thread i had asked about the ways of deleting the cube contents selectively using a job/FM and i was suggested this by one of you.
    CALL FUNCTION 'RSDRD_SEL_DELETION'
    EXPORTING
    I_DATATARGET = 'YOUR_CUBE'
    I_THX_SEL = L_THX_SEL
    I_AUTHORITY_CHECK = 'X'
    I_THRESHOLD = '1.0000E-01'
    I_MODE = 'C'
    I_NO_LOGGING = ''
    I_PARALLEL_DEGREE = 1
    I_NO_COMMIT = ''
    CHANGING
    C_T_MSG = L_T_MSG.
    Although the FM is the correct one the structure L_THX_SEL is a hashed table structure and i am not aware how to fill values into it. My requirement is to give a condition for the 0CALDAY info-object i.e 0CALDAY < 30 days. Please suggest me.
    Regadrs,
    Pramod M

    HI,
    Internal Tables
    Internal tables provide a means of taking data from a fixed structure and storing it in working memory in ABAP. The data is stored line by line in memory, and each line has the same structure. In ABAP, internal tables fulfill the function of arrays. Since they are dynamic data objects, they save the programmer the task of dynamic memory management in his or her programs. You should use internal tables whenever you want to process a dataset with a fixed structure within a program. A particularly important use for internal tables is for storing and formatting data from a database table within a program. They are also a good way of including very complicated data structures in an ABAP program.
    Data Type of an Internal Table
    The data type of an internal table is fully specified by its line type, key, and table type.
    Line Type
    The line type of an internal table can be any data type. The data type of an internal table is normally a structure. Each component of the structure is a column in the internal table. However, the line type may also be elementary or another internal table.
    Key
    The key identifies table rows. There are two kinds of key for internal tables - the standard key and a user-defined key. You can specify whether the key should be UNIQUE or NON-UNIQUE. Internal tables with a unique key cannot contain duplicate entries. The uniqueness depends on the table access method.
    At tables with structured row type, the standard key is formed from all character-type columns of the internal table. If a table has an elementary line type, the default key is the entire line. The default key of an internal table whose line type is an internal table, the default key is empty. At tables with non-structured row type, the standard key consists of the entire row. If the row type is also a table, an empty key is defined.
    The user-defined key can contain any columns of the internal table that are no internal table themselves, and do not contain internal tables. References are allowed as table keys. Internal tables with a user-defined key are called key tables. When you define the key, the sequence of the key fields is significant. You should remember this, for example, if you intend to sort the table according to the key.
    Table type
    The table type determines how ABAP will access individual table entries. Internal tables can be divided into three types:
    Standard tables have an internal linear index. From a particular size upwards, the indexes of internal tables are administered as trees. In this case, the index administration overhead increases in logarithmic and not linear relation to the number of lines. The system can access records either by using the table index or the key. The response time for key access is proportional to the number of entries in the table. The key of a standard table is always non-unique. You cannot specify a unique key. This means that standard tables can always be filled very quickly, since the system does not have to check whether there are already existing entries.
    Sorted tables are always saved sorted by the key. They also have an internal index. The system can access records either by using the table index or the key. The response time for key access is logarithmically proportional to the number of table entries, since the system uses a binary search. The key of a sorted table can be either unique or non-unique. When you define the table, you must specify whether the key is to be UNIQUE or NON-UNIQUE. Standard tables and sorted tables are known generically as index tables.
    Hashed tables have no linear index. You can only access a hashed table using its key. The response time is independent of the number of table entries, and is constant, since the system access the table entries using a hash algorithm. The key of a hashed table must be unique. When you define the table, you must specify the key as UNIQUE.
    Generic Internal Tables
    Unlike other local data types in programs, you do not have to specify the data type of an internal table fully. Instead, you can specify a generic construction, that is, the key or key and line type of an internal table data type may remain unspecified. You can use generic internal tables to specify the types of field symbols  and the interface parameters of procedures . You cannot use them to declare data objects.
    Internal Tables as Dynamic Data Objects
    Internal tables are always completely specified regarding row type, key and access type. However, the number of lines is not fixed. Thus internal tables are dynamic data objects, since they can contain any number of lines of a particular type. The only restriction on the number of lines an internal table may contain are the limits of your system installation. The maximum memory that can be occupied by an internal table (including its internal administration) is 2 gigabytes. A more realistic figure is up to 500 megabytes. An additional restriction for hashed tables is that they may not contain more than 2 million entries. The line types of internal tables can be any ABAP data types - elementary, structured, or internal tables. The individual lines of an internal table are called table lines or table entries. Each component of a structured line is called a column in the internal table.
    Choosing a Table Type
    The table type (and particularly the access method) that you will use depends on how the typical internal table operations will be most frequently executed.
    Standard tables
    This is the most appropriate type if you are going to address the individual table entries using the index. Index access is the quickest possible access. You should fill a standard table by appending lines (ABAP APPENDstatement), and read, modify and delete entries by specifying the index (INDEX option with the relevant ABAP command). The access time for a standard table increases in a linear relationship with the number of table entries. If you need key access, standard tables are particularly useful if you can fill and process the table in separate steps. For example, you could fill the table by appending entries, and then sort it. If you use the binary search option (BINARY) with key access, the response time is logarithmically proportional to the number of table entries.
    Sorted tables
    This is the most appropriate type if you need a table which is sorted as you fill it. You fill sorted tables using the INSERTstatement. Entries are inserted according to the sort sequence defined through the table key. Any illegal entries are recognized as soon as you try to add them to the table. The response time for key access is logarithmically proportional to the number of table entries, since the system always uses a binary search. Sorted tables are particularly useful for partially sequential processing in a LOOP if you specify the beginning of the table key in the WHEREcondition.
    Hashed tables
    This is the most appropriate type for any table where the main operation is key access. You cannot access a hashed table using its index. The response time for key access remains constant, regardless of the number of table entries. Like database tables, hashed tables always have a unique key. Hashed tables are useful if you want to construct and use an internal table which resembles a database table or for processing large amounts of data.
    If help full please give me max Reward

  • Using the values in the Nested table container

    Hi All,
    I have a requirement where the values present in the nested table container should be used in the item text(send mail step).
    I have tried using like &req.itemtab.att [ 10 ]& as i want to display 10 element in the table att which is nested in table itemtab. Still its not working.
    provide solution how to use valued in nested tables.
    Thanks,
    Preethi.

    I really doubt , wheter you will be able to use the syntaxt which you have mentioned here.
    Another thing I could not get which have mentioned as atts 10 ??
    Earlier I was under assumption that your multiline element has only one field.
    however in your case , I think you should put a logic in workflow and separate the date values in multiline container element, and then use this container element directly in mail step.
    Regds,
    Akshay
    Edited by: Akshay Bhagwat on Feb 7, 2008 10:53 AM

  • Workflow table or FM

    Dear All,
    I am trying to read the workflow task data.
    I am able to read the header data through this table swwwihead. and after that i called this FM SAP_WAPI_READ_CONTAINER but all i can read through this FM is the idoc number.
    so I am looping through edid4 to read the data from idoc.
    But i dont want to read from idoc, is there any table or FM which i can direclty read the data of workflow instead of through idoc.
    i tried all FM of SAP_WAPI*  but could not find any fm which gives all the data.
    I want workflow log container data .
    any help appreciated.
    thanks,

    you can read the entire global container elments using the same read container function module.
    to do you have to make sure that you are passing the core workitem id and your container elements are imort export enabled.

  • Need New Reply: Tables containing full values for EKGRP & Plant or solution

    Hi,
    Is there a table available that contains the FULL values for both the EKGRP (Purchasing Group) and WERKS (Plant.)
    While T024D contains both fields, it does not contain the full values. T024 only contains the full values for EKGRP.
    Is there another way of linking them? In terms of my requirement, the user will enter a Purchasing Group. In the background, all of the plants should be found for the specific Purchasing group and stored in range or Internal Table.
    Any and all help will be greatly appreciated and points will be rewarded.
    Thank You,
    John
    Message was edited by:
            John Damion

    Hi
    - Create a Z-TABLE with WERKS and EKGRP as keys;
    - Generate the table maintenance program for SM30
    - Fill your Z-TABLE manually by SM30
    Anyway an alternative solution can be to find the rule to determine the Purchasing group for a plant, but you should ask a little help to your MM functional, because I believe it can't assign a link in MM customizing.
    Max

  • Error while Filling a setup table

    Hi,
    While i filling a setup table, i got this error message,
    "Error determining Rate:foreign curr .local curr
    INR date 27.06.2007 (doc.8166) "
    any body tell me the meaning of this and how to rectify it.
    -Arun.M.D

    Hello Arun
    You are getting this error because Currency Exchange Rate is not being loaded to your system for INR. Ask FI team to maintain this.
    Reward points if it is helpfull.
    Thanks
    Tripple k

Maybe you are looking for