G/L Account line Item Data source
HI All,
we are using Datasource FI_GL_40,
Actually for this Data source FI_GL_40 there is no Delata Capability, to enable Delta we have 2 options upto my knowlege
1. Making the Datasource as Generic Datasource. if we did this now is ok, because we are using from past 10 years.
2. Keep fiscal year as filter in Infopackage, if we did this is there any problem in regualar data load.
can any one tell me permanent solution to make this datasource as delta.
Thanks in Advance
Regards,
Naresh
Usually what you do in these cases it loading the current fiscal period and the previous fiscal period as full loads using the OLAP variables in the Data Selection tab of the infopackages.
Also, connecting the datasource to a DSO with the key figures set in overwrite.
For loading the cubes, you would have to load current period and previous period too, but you would need to use the process "delete overlapping requests" in your process chain.
Similar Messages
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Line Items Data Source for General Ledger
Hello everybody,
I'm trying to generate a Data Source for Line Items (new General Ledger) in transaction FAGLBW03. When I generated a Total Record-Data Source, everything was done correctly. When I try to generate a Line Item-Data Source, I receive following error message: "Extractors for general ledger documents are not yet supported". I was looking for any SAP notes that would explain this issue, but I couldn't find anything.
Could you please tell me how can I generate Data Source for Line Items? Add some SP, use some another transaction, ...?
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JanuleHi,
Can u tell me how did u solve that problem.
i m facing same.
/sachinkumar. -
G/L ACCOUNT LINE ITEM ERROR
hello experts,
i am working on FI DATASOURCE trying to extract the data for the 1st time since we went live
the datasource is G/L Accounts: Line Items 0FI_GL_40
i have executed the infopack and got more than 2.5 crore records in PSA
now when i am executing the DTP to load the data to DSO
its giving short dump within 30 mins of execution showing below details
Runtime Errors UNCAUGHT_EXCEPTION
Except. CX_SY_NO_HANDLER
Date and Time 05.03.2011 13:31:40
Short text
An exception occurred that was not caught.
What happened?
The exception 'CX_SY_NO_HANDLER' was raised, but it was not caught a
along
the call hierarchy.
Since exceptions represent error situations and this error was not
adequately responded to, the running ABAP program
'CL_RSBK_CMD_X=================CP' has to be
terminated.
What can you do?
Note down which actions and inputs caused the error.
To process the problem further, contact you SAP system
administrator.
Using Transaction ST22 for ABAP Dump Analysis, you can look
at and manage termination messages, and you can also
keep them for a long time.
rror analysis
An exception occurred which is explained in detail below.
The exception, which is assigned to class 'CX_SY_NO_HANDLER', was not caught
and
therefore caused a runtime error.
The reason for the exception is:
An exception with the type CX_SY_OPEN_SQL_DB occurred, but was neither handle
locally, nor declared in a RAISING clause
The occurrence of the exception is closely related to the occurrence of
a previous exception "CX_SY_OPEN_SQL_DB", which was raised in the program
"CL_RSODSO_SEMANTIC_PACKETIZER=CP",
specifically in line 79 of the (include) program
"CL_RSODSO_SEMANTIC_PACKETIZER=CM002".
The cause of the exception was:
The database returned a value containing an error
how to correct the error
If the error occures in a non-modified SAP program, you may be able to
find an interim solution in an SAP Note.
If you have access to SAP Notes, carry out a search with the following
keywords:
"UNCAUGHT_EXCEPTION" "CX_SY_NO_HANDLER"
"CL_RSBK_CMD_X=================CP" or "CL_RSBK_CMD_X=================CM00S"
"IF_RSBK_CMD_X~GET_DATAPACKAGE_GENERAL"
If you cannot solve the problem yourself and want to send an error
notification to SAP, include the following information:
1. The description of the current problem (short dump)
To save the description, choose "System->List->Save->Local File
(Unconverted)".
2. Corresponding system log
Display the system log by calling transaction SM21.
Restrict the time interval to 10 minutes before and five minutes
after the short dump. Then choose "System->List->Save->Local File
(Unconverted)".
3. If the problem occurs in a problem of your own or a modified SAP
program: The source code of the program
In the editor, choose "Utilities->More
Utilities->Upload/Download->Download".
4. Details about the conditions under which the error occurred or which
actions and input led to the error.
please suggest what is the error and how to Rectify the same as it is needed on priority
thanks in advance
Edited by: Tarakz on Mar 5, 2011 12:11 PMhello ,
i have got the data correctly but the request is still showing Red although when i monitor nothing is red inside but still request showing red
and i have semantic keys and in filter option i am unable to take any selection
how to take selection
plzzz explain
thankssss -
G/L Accounts: Line Items (Direct)
Hi experts,
in BI, we are using VIRTUAL cube G/L Accounts: Line Items, which is based on DTP, using data source 0FI_GL_40. We have enhanced extractor, using user exit, to populate some fields, which have been empty (vendor and customer number on G/L account). Now, extractor is working properly and the fields are populated, also seen in BI report, when using - REPLICATED data (from DSO). But when we use VIRTUAL provider (cube), the fields are empty.
It seems to me like VIRTUAL info providers BASED on DTP "don't go through" user exit. I would like to ask whether this can be handled somehow, so that are fields populated through user exit, will be seen also usin virtual provider, not replicated data.
Thanks in advance.
PeterHello Dennis,
thanks for the tip, your assumption is right, it's regarding 0FIGL_V40 in BI 7.0. Could you please be more detailed, which BW 3.x InfoSource do you mean? Or what exactly has to be done?
The "objects" under this InfoCube are - transformation, datasource (0FI_GL_40) and InfoPackage, that's it. When I check InfoCube Type/Namespace - it is based on Data Transfer Process for DirectAccess, but the checkbox With InfoSource 3.x is not checked..
Thank you in advance for your answer.
Regards,
Peter -
Hi,
I have report against FIAR line items data(0FIAR_O03).The purpose is to report at Customer level for aged trail balance amounts(only for charge back amounts).I have the report ready and restricted document type only with CB- charge back.But the problem is,on the R/3 side for some CB accounts,there is a reference amounts like Credit memos or Customer Payments(document type DZ and DG).How can get these refrences into my report when i restrict the report only with CB.So under charge back ammount,the user should be able to see the associated Credit memos and Customer Payments as in R/3.Thanks for the help.
Ravi.Hi Revathi,
Kindly find the answers below :
1.How the table BWOM2_TIMEST will work for delta & what is the selection will happen at BKPF-CPUDT
Basically, BWOM2_TIMEST will show you the Last Time stamp for both Init and Delta..
Whenever you will do an Init load.....automatically an entry will take place in this table.....and you will see a "X" sign in the field "LAst TS"....
Also for Delta...there may be N number of entries with Update mode D....but only for the latest delta you will see a "X" sign in the field "LAst TS"....
With Financial Accounting line items that have been posted in the SAP R/3 system since the last data request, the extractors identify the following delta dataset using the time stamp in the document header (BKPF-CPUDT).
2.How the tbale will wok BWOM_SETTINGS for delta
With these settings your delta extraction uses CPU date of recording records in table in R/3 to define your security interval with at least 1 day
This means that your data is loaded until the actual day - 1.
You can check the SAP note : 485958
Regards,
Debjani.. -
Is there any report to see GL account line items.
Hi Experts,
Is there any report to see GL account line items. if the line item management is not selected in GL account.
Regards
SAM.
Edited by: samiuk on Jun 27, 2010 9:32 PMHello,
The reports to see GL line items are fbl3n ( classic GL ) and FAGLL03 ( New GL).
If the line item management is NOT flagged in the Master data of the account you'll not see any line items. The line item management flag determines if the document will create entries in the secondary index tables (BSIS/BSAS) which are used to display the line items.
REgards,
REnan -
FAGLB03 and GL Account Line Item Display not tally
Hi SAP Guru,
Just wondering why our balance in FAGLB03 and GL Account Line Item Display is not tally. What could be the reason and what should I do to have it reconciled?
Thanks,
JulieHi,
Please check the SAP note:
Note 1223997 - Amounts incorrect in FAGLB03 navigation to FAGLL03 and FB03.
1. There is a difference between FAGLB03 and navigating to FAGLL03.
You display transaction figures of an account using FAGLB03.
By double-clicking a line, you branch to the line items.
The total of the items does not correspond to the balance.
If you drill down to the 'Debit' or 'Credit' column, certain items may not be displayed, or too many items may be displayed. This occurs in particular with negative postings, for example because a negative posting 'reduces' the balances on the credit side.
Therefore, this item should be displayed in the 'Debit' items when you navigate to FAGLL03. This does not work correctly.
Reason and Prerequisites
There is a program error or a data inconsistency
If the problem symptoms are as above, kindly check in the system whether this note has been applied.
Thanks
Aravind -
To update the po line item data into sap thru bdc
Hi Experts,
My requirement is to create a bdc program . get the po line item data from the file and will update in sap thru bdc .so please help on source code how to create .
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Prashanth p.Hi,
Check this link,
/message/5215197#5215197 [original link is broken]
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RERAOP: With balance sheet account line item
Hi
While posting RERAOP with activity simulating 'Vendor Invoice Distrib. to ROs' standard activity, I'm getting the message 'Enter an account assingment object for posting to bal. sheet account XXXXX'. Please advice.
Configuration of G/L Account line item includes the settings as follows...
-Account Assignment-
Object Type: Contract
Deriving Object Required: Yes
Def.AcctAsgObj.: From the Contract of Basic Data
-Transfer to Objects-
Is Distribution Item: Yes
Ext.Dist. Form: Divided Equally
FYI: 'SAPK-60206INEAAPPL' is the support package of the landscape I'm working on.
Thanks, SekharThis has got resolved after applying the correction suggested in following note.
Note 1315210 - RERAOP: Customizable message RERAOP 034
Regards, Sekhar -
Business Area is not getting updated in "Main Bank Account" Line item (FF_5
Hi Gurus,
I am executing T Code: FF_5 for uploading the "Multi-Cash" Format. This transaction clears the Bank Clearing Account and post the entry to the credit of "Bank Main Account".
Now while i had executed F110, the Business area was properly captured in the Bank Clearing Account Line item. But while executing FF_5, the Business Area is not getting captured against the "Main Bank Account" Line item.
Can you please tell me how to capture the Business Area against the "Main Bank Account" Line item.
Rgds,
Prasad.Hi,
1. In case of Business where payments are made centrally it is important to report
Bank A/c Business area wise.
2. However I have solved the problem by doing "Sustitution", and its working fine. The Business Area is getting updated against the Main Bank Account Line item.
3. I am however getting one error while doing the upload in FF_5. The error occurs
only if Business Area is a "required" field in Bank Account's "Field Status
Group".
Error: (00 298) Formatting error in the field COBL-GSBER ; see next message.
But if I make Business Area as an Optional Field I am not getting an error and
also the posting is done to Main Bank Account.
Is there anyother method by which this error can be corrected.
I have assigned 2 points for your inputs. Can you help me to solve this error as well.
Rgds
Prasad -
Report GL Account Line Item with vendor name and VAT registration number
Hi,
Is there any standard SAP report/inquiry for GL Account Line Item like FBL3N, with information vendor name and VAT Registration Number (field STCEG) without using ABAP.
Thanks.Hi,
We can get purchase register through T.Code: 'J1I2' by specifying condition types and tax codes.
We can't get 100% report from this T.Code.
Check it once.
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Padmaja N. -
Line item data is not saving while creating a Sales order using Interactive
Hi all,
I am creating a sales order Using Interactive forms. In the form i am having Header data and line item data.I had created two structures one for Header data and one for Line item data. For entering the LINE ITEM DATA i had created a Dynamic table with Buttons ADD ROW and DELETE ROW.
User will Add the Row or Delete the Row based on the requirement.
My issue is When ever the user clicks the SUBMIT button after entering the header data and 3 line items data , Sales order has been created with only first line item and the remaining two line items are not created.
My Interactive form is like below
HEADER DATA
DOC_TYPE
SALES_ORG
DIST_CHN
DIVISION
PURCH_NO
PARTN_ROLE
PART_NO
LINE ITEM DATA
ITEM_NO MATERIAL PLANT QTY COND_TYPE COND_VALUE
ADD ROW
DELETE ROW
SUBMIT
My code for the method ONACTIONCLICK is like below
method ONACTIONCLICK .
data:
Node_Adobe type ref to If_Wd_Context_Node,
Node_Zsaleheader type ref to If_Wd_Context_Node,
Elem_Zsaleheader type ref to If_Wd_Context_Element,
Stru_Zsaleheader type If_Main=>Element_Zsaleheader,
Node_Zsaleitem type ref to If_Wd_Context_Node,
Elem_Zsaleitem type ref to If_Wd_Context_Element,
Stru_Zsaleitem type If_Main=>Element_Zsaleitem.
data: header_data type BAPISDHEAD.
data: item_wa type BAPIITEMIN.
data: item_data type table of BAPIITEMIN.
data: partner_wa type BAPIPARTNR.
data: partner_data type table of BAPIPARTNR.
data: sales_order type BAPIVBELN-VBELN.
data: Errorlog type BAPIRETURN1.
navigate from <CONTEXT> to <ADOBE> via lead selection
Node_Adobe = wd_Context->get_Child_Node( Name = IF_MAIN=>wdctx_Adobe ).
navigate from <ADOBE> to <Zsaleheader> via lead selection
Node_Zsaleheader = Node_Adobe->get_Child_Node( Name = IF_MAIN=>wdctx_Zsaleheader ).
Node_Zsaleitem = Node_Adobe->get_Child_Node( Name = IF_MAIN=>wdctx_Zsaleitem ).
get element via lead selection
Elem_Zsaleheader = Node_Zsaleheader->get_Element( ).
Elem_Zsaleitem = Node_Zsaleitem->get_Element( ).
get all declared attributes
Elem_Zsaleheader->get_Static_Attributes(
importing
Static_Attributes = Stru_Zsaleheader ).
header_data-DOC_TYPE = Stru_Zsaleheader-DOC_TYPE.
header_data-SALES_ORG = Stru_Zsaleheader-SALES_ORG.
header_data-DISTR_CHAN = Stru_Zsaleheader-DISTR_CHAN.
header_data-DIVISION = Stru_Zsaleheader-DIVISION.
header_data-PURCH_NO = Stru_Zsaleheader-PURCH_NO.
partner_wa-PARTN_ROLE = Stru_Zsaleheader-PARTN_ROLE.
partner_wa-PARTN_NUMB = Stru_Zsaleheader-PARTN_NUMB.
append partner_wa to partner_data.
Elem_Zsaleitem->get_Static_Attributes(
importing
Static_Attributes = Stru_Zsaleitem ).
item_wa-ITM_NUMBER = Stru_Zsaleitem-ITM_NUMBER.
item_wa-MATERIAL = Stru_Zsaleitem-MATERIAL.
item_wa-PLANT = Stru_Zsaleitem-PLANT.
item_wa-REQ_QTY = Stru_Zsaleitem-REQ_QTY.
item_wa-COND_TYPE = Stru_Zsaleitem-COND_TYPE.
item_wa-COND_VALUE = Stru_Zsaleitem-COND_VALUE.
append item_wa to item_data.
CALL FUNCTION 'BAPI_SALESORDER_CREATEFROMDAT1'
EXPORTING
ORDER_HEADER_IN = header_data
WITHOUT_COMMIT = ' '
CONVERT_PARVW_AUART = ' '
IMPORTING
SALESDOCUMENT = sales_order
SOLD_TO_PARTY =
SHIP_TO_PARTY =
BILLING_PARTY =
RETURN = errorlog
TABLES
ORDER_ITEMS_IN = item_data
ORDER_PARTNERS = partner_data
ORDER_ITEMS_OUT =
ORDER_CFGS_REF =
ORDER_CFGS_INST =
ORDER_CFGS_PART_OF =
ORDER_CFGS_VALUE =
ORDER_CCARD =
ORDER_CFGS_BLOB =
ORDER_SCHEDULE_EX =
endmethod.
PLEASE SUGGEST ME IF ANY CODE CHANGE IS REQUIRED
Thanks in advance
AjayHi,
The item data is not read because, the dynamically added rows should also reflect back to the Web Dynpro context. When the user clicks on Add Row, use the Onsubmit event to add a empty line to internal table and then bind it to the context. And if the user removes a row, remove a row from internal table and bind it back to the context.
You may refer this article.
http://www.sdn.sap.com/irj/scn/index?rid=/library/uuid/802f0ed1-a17a-2c10-7db4-d515a5b047ed
Regards,
Runal -
How to delete the Cost center line item data
How to delete the cost center line item data of particular cost center and only one cost center is exisiting for that company code.
Is there any way to delete the line items in that cost center.
Can data archiving & deleting can help us..........
does it have any effect over other cost center data....
any input needed.........
regards
rajeshHi,
i found 2 reports for you:
1) CO_TOTAL_WRI - Archiving CO Totals Records
2) RKCOITW1 - Archiving CO Line Items: Write Program
from 2) is a linlk to customize archiv-parameters
-> start it with transaction se38 / sa38
A. -
Line item data does not appear on all master pages - Adobe forms
Hi Guys,
I have a problem in Adobe forms as explained below-
I have a page in the form which has, you can say, a 2 windows or subforms ( Information window/subfirm on top right corner, main on middle of the page ). The data of the main subform is a line item data of delivery. Some parts of the same data need to be printed on the Information subform also. The main subform can overflow to next pages but the information window will have only very limited data to be printed on one page itself, meaning it does not overflow.
Now the requirement is that each line item should be printed on a new page. For example if there are 2 lines items then first line item should be printed on first page. Then there will be a conditional page break and the next line item will be printed on the next page ( I have achieved this using condition page break). The information window will contain information related to corresponding line items. If the first line item data overflows in main then information window of first line item should be printed on first and 2nd page. The second line item should start printing on 3rd page and information window of 3rd page will contain data of 2nd line item.
I created 1 body page and 1 master page. I created one internal table with data of main window and information window. I put the information window on master page to make it appear on all the pages.
This solution unfortunately does not work. The issue is that in case of overflow, 1st page information window shows first line item. 2nd pages shows 2nd line item and 3rd page is blank whereas ideally 1st and 2nd page information window should show first line item and 3rd page should show 2nd line item. This means that master page and body page are not getting linked. If I create the information window on body page itself, it does not repeat on all the pages. Please provide some inputs to resolve the issue.
Thanks
AbhiHi Abhinav,
I am also trying to solve the similar issue. Need to print the internal table data in the Master page.
Have you resolved this issue. Can you Please share your solution .
Thanks
Swarna. -
What is table name in SAP R/3 for PM order line item data
Hello,
I am extracting data for PM module and Interested in PM order line item data. Table AUFK is for PM order header master data.
Is there any other table for PM order line item master data?
Thanks,
IshakHi Ishak,
The item table is AUFP.
Thanks.
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