FMBB Transaction - Add fields to line item table

Hi Gurus,
                 Our requirement is to enhance FMBB transaction to accommodate one more field. I found this BADI FMBW_CUSTOMER (Method - ADD_FIELDS_TO_LINE_ITEM). I am planning to add an additional field(customer Include) in FMBL table and implement the method. Am I going in the right direction? Do you have any other suggestions.
Thanks for your help.
Prakash

Hi Prakash,
I have the similar requirement to add a custom field in FMBB->Payment Budget Tab.
Please share with me how have you achieved it.
Thank you in advance.
Regards,
Mohammed

Similar Messages

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    Hi,
    For a current report, I need to obtain the data stored in transaction KSB1 - Actual Cost Line items for cost centers.
    What tables contain this data? Are there any standard function modules available to obtain the data?
    Please help.
    Thanks,
    John

    The following content from SAP help file may help you.
    Use
    You can use Report Painter reports and line item reports from the Cost Center Accounting (CO-OM-CCA) and Internal Orders components (CO-OM-OPA) to evaluate archives. Generally, the following reports can read the relevant data from any archive:
    ·        All Report Painter reports for table CCSS
    ·        The actual line item report for internal orders
    ·        The actual line item report for cost centers
    ·        Document display
    The SAP system includes a variety of report and archiving object .combinations. The standard system thus provides only a limited number of reports for given archiving objects. However, it is also possible to execute other reports for an archiving object.
    Actions
    Reading Report Painter Reports from the Archive via the Component
    1.      To execute a Report Painter report, choose Information system ®Report selection in the given component and select the desired report.
    2.      On the report selection screen, choose Data source.
    3.      On the following dialog box, select Read from archive and choose Continue.
    4.      On the following dialog box, enter the object from which you want to read the archived data.
    Choose F4 Help to obtain a list of the archiving objects to which the report applies.
    5.      Choose Archive selection to determine the archive files for the report.
    6.      As in the standard transaction, you can start the report online or in a background job.
    Reading Line Item Reports and Documents from the Archive via the Component
    1.      To execute a line item report or document display, choose Information system ® Report selection in the given component and select the desired line item report or document display.
    2.      On the report selection screen, choose Extras ® Data source.
    3.      On the following dialog box, select Archive as the data source.
    4.      On the following dialog box, enter the object from which you want to read the archived data.
    Choose F4 Help to obtain a list of the archiving objects to which the report applies.
    5.      Choose Archive selection to determine the archive files for the report.
    6.      As in the standard transaction, you can start the report online or in a background job.
    As it is often unnecessary to enter further selection criteria when reading data from an archive, you can enter an asterisk (*) under Cost center and Order where required.
    Reading Reports from Archive Administration from the Archive (SARA Transaction)
    1.      Under Object name, enter the archiving object (such as CO_COSTCTR) and choose Evaluate.
    Choose F4 Help for the Read program field to list all the reports for the archiving object.
    2.      Choose and execute the required report.
    3.      Branch from the selection screen to the data source selection:
    a)  For Report Painter reports, choose Data source.
    b)  For line item reports or for document display, choose Extras ®Data source.
    4.      The archiving object is already defaulted. Choose Archive selection to determine the archive files for the report.
    5.      As in the standard transaction, you can start the report online or in a background job.
    Assigning Reports to Archiving Objects
    The SAP system stores the report assignments to the archiving objects. The assignment controls which objects appear in the F4 Help for the data sources and which reports appear for the read programs in archive administration.
    A warning message appears if you choose an archiving object that is not assigned the relevant report or a report that is not assigned the relevant archiving object. You can ignore this warning message. You can execute the report if you wish, but you must bear in mind that incomplete data will be the result.
    To view the assignments in the standard SAP system, see the ARCH_REPOW table.
    Importing Standard Assignments
    The ARCH_REPOW table is a Customizing table that also allows user-defined assignments. Standard assignments are provided therefore in client 000 only. You cannot use reports in other clients for reading data from the archive.
    1.      To import standard assignments to other clients, go to the SAP  initial screen, choose Tools ® ABAP Workbench ®ABAP Editor, and enter and execute program ARCH_REPOW_IMPORT.
    2.      Enter CO_* as the archiving object.
    3.      Accept the default settings in the other fields (source client 000, report type RW).
    4.      Choose Execute.
    Creating Custom Assignments
    In principle, you can read data from given archiving objects even if the standard SAP system does not have the relevant combination of report and archiving object.
    ·        For Report Painter reports, the prerequisites are:
    -   The report applies to table CCSS
    -   The archiving object includes table COSP or COSS
    Tables COSP and COSS may also appear in the archiving object definitions as COSPA and COSSA.
    Of course, you may also use custom reports to read archiving object data.
    ·        For line item reports, table COEP must be part of the archiving object. Table COEP may also appear in the archiving object definition as view COVP or COVPxy (where u201Cxu201D and u201Cyu201D stand for numerals).
    If you want to work with previously unsupported assignments, enter these in table ARCH_REPOW in order to avoid confusion among end-users. In addition, you can include documentation justifying the use of the corresponding report for your own archive reading runs.
    To enter a new assignment:
    1.      Start system transaction SM30.
    2.      Enter table ARCH_REPOW.
    3.      ChooseMaintain.
    4.      Choose New entries to enter the new assignments.
    Make the following entries:
    a)  Under Object name, enter the name of the archiving object.
    b)  Under Report type, enter:
    RW for Report Painter reports
    TR for line item reports
    c)  Under Program name, enter:
    The name of the report group for Report Painter reports
    KSB1 for the actual line item report for cost centers
    KOB1 for the actual line item report for internal orders
    KSB5 for document display
    d)  Leave the Activate archive selection field empty.
    Standard Contents of Table ARCH_REPOW
    Report
    Program Name
    Report Type
    Object Name
    Cost Center Actual Line Items
    KSB1
    TR
    CO_ALLO_ST
    CO Documents, Actual Costs
    KSB5
    TR
    CO_ALLO_ST
    Cost Center Actual Line Items
    KSB1
    TR
    CO_CCTR_EP
    CO Documents, Actual Costs
    KSB5
    TR
    CO_CCTR_EP
    Area: Cost elements
    1AIP
    RW
    CO_CCTR_ID
    Area: Statistical key figures
    1SKL
    RW
    CO_CCTR_ID
    Cost centers: Drilldown by Partner
    1SHK
    RW
    CO_CCTR_ID
    Cost centers: Actual/plan variance
    1SIP
    RW
    CO_CCTR_ID
    Area: Cost Centers
    1KSL
    RW
    CO_CCTR_ID
    Area: Activity types
    1SLB
    RW
    CO_CCTR_ID
    Cost Centers: Period Breakdown Actual/Plan
    1SMA
    RW
    CO_CCTR_ID
    Cost Center Actual Line Items
    KSB1
    TR
    CO_CCTR_ID
    CO Documents, Actual Costs
    KSB5
    TR
    CO_CCTR_ID
    Area: Cost elements
    1AIP
    RW
    CO_CCTR_PL
    Area: Statistical key figures
    1KSL
    RW
    CO_CCTR_PL
    Cost centers: Drilldown by Partner
    1SHK
    RW
    CO_CCTR_PL
    Cost centers: Actual/plan variance
    1SIP
    RW
    CO_CCTR_PL
    Area:  Cost Centers
    1SKL
    RW
    CO_CCTR_PL
    Area: Activity types
    1SLB
    RW
    CO_CCTR_PL
    Cost Centers: Period Breakdown Actual/Plan
    1SMA
    RW
    CO_CCTR_PL
    Area: Cost elements
    1AIP
    RW
    CO_COSTCTR
    Area: Statistical key figures
    1KSL
    RW
    CO_COSTCTR
    Cost centers: Drilldown by Partner
    1SHK
    RW
    CO_COSTCTR
    Cost centers: Actual/plan variance
    1SIP
    RW
    CO_COSTCTR
    Area:  Cost Centers
    1SKL
    RW
    CO_COSTCTR
    Area: Activity types
    1SLB
    RW
    CO_COSTCTR
    Cost Centers: Period Breakdown Actual/Plan
    1SMA
    RW
    CO_COSTCTR
    Cost Center Actual Line Items
    KSB1
    TR
    CO_COSTCTR
    CO Documents, Actual Costs
    KSB5
    TR
    CO_COSTCTR
    Order Actual Line Items
    KOB1
    TR
    CO_ITEM
    Cost Center Actual Line Items
    KSB1
    TR
    CO_ITEM
    CO Documents, Actual Costs
    KSB5
    TR
    CO_ITEM
    CO Documents, Actual Costs
    KSB5
    TR
    CO_KSTRG
    List: Orders
    6L00
    RW
    CO_ORDER
    List: Cost elements
    6M00
    RW
    CO_ORDER
    Order: Actual/plan variance
    6O00
    RW
    CO_ORDER
    Order: Drilldown by Partner
    6O08
    RW
    CO_ORDER
    Order: Drilldown by Period
    6Z02
    RW
    CO_ORDER
    Order Actual Line Items
    KOB1
    TR
    CO_ORDER
    CO Documents, Actual Costs
    KSB5
    TR
    CO_ORDER

  • Creating Condition Table.. Key fields and line items

    dear all
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  • Update Profit Center Field in CO Line item tables

    Hi,
    We are working on ECC6.0 NewGL with Real-time CO-FI integration for Cross Company Code and Cross Pofit Center.
    For those CO internal documents (like activity confirmation at production order) where there is no cross company code or cross profit center postings, no FI document is generated and hence table FAGLFLEXA is not updated. So, we wanted to take data from CO table COEP / COVP for these internal CO documents. However, there is no Profit Center field in CO line item tables COEP / COVP. We don't want to refer to Object Number (OBJNR) of COEP / COVP tables and take profit center from master table of cost centers, IOs etc..,as Profit center in the cost center, IO masters may get changed latter.
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    Thanks,
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  • Query : Custom field at line item level in SRM 7.0 .

    I was going through a document which instructs on how to add a custom field at line item level in SRM 7.0.
    I found this code :
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    EXPORTING
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    ENDLOOP.
    I wanted to know what is 'I1015'  and what is its significance .
    please advise .
    Ambar

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  • How to add a new line item to a Purchase Requisition number

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  • How can I add a new line item for production order?

    HI all,
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    Hi Mil,
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    Hi.....
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    Hi,
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    Edited by: Jivani Paresh on Jul 31, 2009 9:16 AM

    Hii,
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  • How to add a new line item when i click on UPDATE in orderpage B2B webshop?

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