GL Line Items with Material characteristics

Hello Sap Gurus,
Is there a datasource for FI that will extract the GL Line Items with Material characteristics?
We have activated the 0FI_GL_4 and 0FI_GL_6 datasource but there is no Material characteristics field.
We are using BW 3.5 and R3 4.6.
Thank you.

Yes.... General Ledger Accounting FI-GL datasource is based on tables BKPF and BSEG and it dosent provides details at material level.
Regards

Similar Messages

  • I have a problem regarding sales order line item with confimed quanity

    Hi Experts,
    I have a problem regarding sales order line item with confimed quanity with '0'  with delivery block but confirming the sales order quantity once the order is released from credit check.
    The situation arises as per the below scenarios.
    Scenario - 1 -  When the sales order has two line item - one line item with confirmed qunaity in the schedule line and for the 2nd line item there is no available stock for the Material xxxxxx.
    Initially the sales order is created for the line item 2 with confirmed quantity = 0, and having the delivery block = 01 for the Material xxxxxx  and the order is set with credit check.  Once the order is relased from the credit check.  The quanity for the item 2 where the confirmed quantity will be = 0 ( Where it is not changing the confirmed quantity)
    Scenario -2-  Updating the order qunaity for the line item 2 as (9Pcs) it will goes to credit check and save the order.
    Maintain the stock for the line item 2 ( 5 Pcs).
    Once the order is released from the credit check.  Then  for the line item 2 the confirm quanity will be seting to 5 Pcs with Delivery blcok 01.
    This should not happen, When the credit check is released even though if it has stock based on the delivery blockl it should set the confirmed quanity to Zero.
    Can you please help me how to solve this issue.
    Looking forward for your reply.
    Thanks and Regards,

    Hi,
    I agree with your point.  In the sales order When the complete delivery check box is enabled where the confimed qty is set to zero, it is fine but when we save the orderr it goes to credit check.  Once we release the order using VKM3 where in the sales order the confimed quantity is setting to 5,  But it should set to Zero quantity.  Quatity should not be get confirmed it should be Zero Quantity. 
    Further in SPRO - customizing in the deliveries blocking reasons - It has a tick mark in the confirmation blcok.  But we dont want to remove the - Confirmation Block tick mark
    Please any one can help me if you have any solution to solve this problem.
    Thanks and Regards.

  • Defaulting Tax Code in the PO line item by Material Group

    Hi All,
    How do I default the Tax code for the PO line item by material group in INDIRECT purchasing (without Material Number)
    What is the config for this?
    Thanks in advance.

    Not possible with mateiral group except you devvelope custom solution or try the following
    Do the config in thetcode
    OMKL
    OMKN
    OMKO
    than maintain that for your conditon in MEK1. 
    In this section, you maintain the tax code determination facility.                                                                               
    Within the framework of the price determination process, it is possible       
    to have the tax code determined automatically via the conditions.                                                                               
    For the purposes of automatic tax code determination, tax indicators          
    derived from the material master record, Customizing, or the purchasing       
    document are used. The system determines the tax code on the basis of the     
    combination of these tax indicators.                                                                               
    To assign a tax code to a combination of tax indicators, you must             
    maintain master conditions in Purchasing (menu options "Master data ->        
    Taxes").                                                                               
    There are tax indicators at the levels "plant", "account assignment           
    category" and "material".                                                                               
    In addition, there are two tax indicators that are derived from the           
    purchasing document:                                                                               
    o  Country of origin and country of destination differ                        
    o  Region of origin and region of destination differ                                                                               
    The assignments "tax indicator -> plant" and "tax indicator -> account        
    assignment category" must be made in Customizing.                                                                               
    Automatic tax code determination can be useful, for example, if different     
    tax rates apply depending on whether a material is placed in stock or is      
    consumed immediately following its procurement.

  • Vendor Line item with Opening and Closing Balances report regarding

    Dear All,
    I need a report for vendor line items with Opening and Closing balances.
    Thanks in advance
    Sateesh

    Hi
    Try S_ALR_87012082 - Vendor Balances in Local Currency
    Regards
    Sanil Bhandari

  • Customer line items with balance carry forward no opening balance

    Hello FI Experts,
    We have ticket where the user is using a Z* Report for Customer line items with balance carry forward. In 31.01.2007 user has posted some legacy data, latter he was executing this Z* report then user can see the values posted on the same day (31.01.2007) as line items. But he was executing the report on 01.02.2007 then he was not able to see the line item as well as the values posted on 31.01.2007 as opening balance as on 01.02.2007. But if we run the report as on 01.01.2008 then we are able to see the values which are carry forwarded as opening balances. Did anyone have worked on this type of scenario?
    Requirement Here Is:  The values that have been posted on 31.03.2007 which are still open line items should get displayed as opening balance as on 01.02.2007.
    Thanks for helping on this issue.

    Hi,
      Any report will get data from Tables. Please check whether the table you have used to develop this report has opening balance.
    Balance will be carry forwarded only when you run the balance carry forward program. Check whether this was run for the date you have specified. This can be done in the year end.
    If you are checking in the middle of the year, then the balance will not be carry forwarded.
    Regards,
    B. Radhika.

  • Report for G/L line items with both debit & credit posting accounts

    Hi,
       My client requires a G/L line items report. It can be possible thru fs10n or fbl3n etc. But he wants to see both the credit and debit accounts in the same line.
    for ex: if I open a expense account and show the report of individual documents, he wants to see the corresponding credit item to which bank/cash account it got credited to.
    we showed them to double click on that document and goto document overview. but they dont want in that way.
    they want to see all the line items with both postings in the same sheet for all line items.
    valuable replies will be fairly rewarded.
    thanks,
    chaitanya

    Hi,
    U can use the following TCodes...
    - S_ALR_87012287
    - S_ALR_87012289
    - S_ALR_87012291
    But i am not sure if your client will be happy...
    This is a very common req and the only solution possible is to have a customized report for the client..
    Hope its clear..
    Cheers
    Raghu

  • Unable to delete line item with 0 quantity in Invoice.

    Hi Experts,
    I came across a Invoice which reflects in VF04 as pending Billing due list. When i checked at the inter company Invoice i came across a line item with "0" quantity and price as zero, interestingly the replinishment cross company delivery document  for the same line item for "0" quantity had a Batch assigned to it.
    Now the issue is cusotmer has selected the line item with XX quantity and have selected the accounting document to be generated but the line item with "0 was left over and now still reflects in VF04.
    Customer does not want to reverse the full cycle to resolve the issue since the document was created a year back.My Question  is can we get the line item with "0" quantity to clear accounting so that it will not reflect in VF04.If so what will be process to do that.
    Thanks in Advance to advice.
    Regards,
    Sridhar.R

    Hi,
    It is  not possible to delete this line item, you can discuss with your client and delete it from the table.
    And now coming to the reasons why it has come into the invoice & Delivery
    1. The Batch Item category must have been configured as relevant for billing...check this and make it irrelevant if the client does not do batch specific billing. --- This will stop the batches from coming into the invoice.
    2.  Check for the batch item category in delivery if Zero quanity is allowed...if it is allowed make it not allowed and make it an Error message, whenever there is a zero quantity system will give a message.

  • PO Line Item with Open Quantity

    HI all,
    How should i select a PO line item with Open Quantity? Is it possible to post GR for a PO which is set for Delivery Complition but still has Open Quantity ..
    please help me how to check for OPEN QUANTITY.
    Thanks,
    Ravi.

    Hi all,
    Thanks for your answer, but can you be some more specific on what calculations need to be done.
    I need to Post a GR for all PO where PO line items have Open Quantity.
    Thanks
    ravi.

  • How to pull PO line item with "Block" indicator

    Hi all
    In ME2N, how do I pull all the PO line items with the "block" indicator set?
    I couldn't find a field in dynamic selection.
    Thanks in advance!

    HI,
    1. In ME2N -
    >Go to EDIT menu and then select Dynamic Selections (Shift+F4).
    Next select Purchasing Document item and double click on deletion indicator.
    Select the indicator and excute.
    Hope it helps..
    regards

  • PO Release Strategy not changed after deletion of few line items with less

    Subject : PO Release Strategy not changed after deletion of few line items with less Total PO
    Dear Friends
    We have issue with PO Release strategy. We have created the PO. with release strategy  with multiple approvers.  After approval of first approval manager , one of the PO line item got deleted and Total PO value is reduced . The new PO value should have changed the PO release strategy. But it is not changed. Old release strategy only showing in the PO which is wrong. 
    Details of the PO
    PO no 4500000123 with 5 line items Total PO value : 100,000 USD Release strategy : AB
    PO line item 5 deleted. Now total PO value changed to 50,000 USD and the PO release strategy should have been changed to AA but not changed. Still showing PO release strategy AB only.
    Are there any OSS notes available to correct his bug.
    Please let me know if you need more details
    Thanks in Advance
    Thanks
    MVS

    Hi,
    release indicators  change it to 4.It may works. Please explore to all 6 indicators..........
    i.e,
    1-cannot be changed
    2-changable,no new determination of strategy
    3-changable,new release in case of strategy
    4-changable,new release in case of strategy or value change
    5-changable,new release if new strategy/outputted
    6-changable,new release if new strategy or value changed/ outputted......
    And check   Characteristic description and value in Classification  of Release strategies ........
    I hope this will help you. Thanking you.
    Regards,
    Venkat.

  • Procurement tab in Sales order displays two line items per material

    Folks
    I am not a SD guy and i have a very basic question on how to read the details in the procurement tab for a sals order.
    In the Procurement tab of a Sales order, two line items per material are displayed as shown below. whats does this mean ?
    Further, I had observed the below differences in the below 2 lines
    1. Mat. Avail Date is 06/19/2007 for line 1 & 06/20/2007 in line 2.why r the dates different ?whats the significance?
    2. Confirmed qty is 0 line 1 & 1in line 2.( when does confirmation trigger or update ? Is it upon ATP check or upon delivery ?)
    3. Order qty is 1 line 1 & 0 in line 2.
    Item     Material     Plant     Confirmed Qty     SU     Mat. Avial Date     SL     Req. Type          Deliv. Date     ATP Qty     Loading dt     Route     Part. Deliv/ Item     Deliv priority     Desc                              
    10     NTE801NC     2400     0     EA     6/15/2007     CT          D     6/19/2007     0     6/15/2007     24GB03     C     98     Priority 98 (Normal)                              
                                    1     EA     6/15/2007     CT          D     6/20/2007                   6/15/2007                    Priority 98 (Normal)                              
    Thanks

    It means  2 schedule line for that materials ,
    06/19/2007  is the date on which material is requested by  customer  but there is not sufficient stock on that day so 0 quantity is confirmed for that day.
    On 06/20/2007 material is availabe and you can start delivery to customer on 06/20/2007 and system confirms the material for 20th and it is reserved for this sales order.
    Confirmation is based on your MAT ( Material availability date ), but you can revist these dates through by triggering availabilty check or Back order processing through GATP or ATP.
    Manish

  • Can we clear more line items with different currency within one Vendor

    Dear All,
    Please guide us the following issue is
    Can we clear two line items with different currency within one Vendor (i.e., Down Payment entry passed in EUR and Invoice in JPY).
    Thanks in advance.
    Regards
    Srinivas

    Hi
    I suppose this should be possible in F-44, for any difference in forex enter a new line item 'Charge off diff.' to Dr/Cr Forex gain/loss account
    Thank You,

  • The  vendor code is not coming against some Assignment line items with the

    Hi All,
    While executing  t.code FBL3N,the  vendor code is not coming against some Assignment line items with the GL A/C4607000, some line items it is coming.
    The GL A/c 4607000 is GR/IR clearing a/c.
    Please let us know  why this situation is happeing at the time of FBL3N.
    Thanks
    Ram

    HI,
    By activating the special fields you can the vendor number, but use the new reprot called "FAGLL03 - Display/Change Items (New) ".
    First go to SPRO> Financial Accounting (New)> General Ledger Accounting (New)--> Master Data > G/L Accounts>Line Items --> Define Special Fields for Line Item Display
    Click on New Entries -
    Table - BSEG - Field - LIFNR
    Save. Now execute the report - FAGLL03 - Display/Change Items (New)
    Give the gl account number and execute.
    After getting the line items list from menu select --Settings --> Special Fields --> Click on New Entries --> Enter Table BSEG, Field Name LIFNR.
    After this come back and execute again. It will give you the vendor number.
    Thanks & Regards,
    Shashi Kanth.

  • Generate 2 line items with posting keys in same table while using  FM .

    Dear Expert ,
    For T-code f-65 ,I have to park a FI Document  .i tried with PRELIMINARY_POSTING_FB01 for parked Document . But  i am not  successfully park the document .
    with the help of F-65 the data Segregate between Tables VBSEGS and VBSEGD with respecting Posting key . but with this Fm entire entry is displaying in table VBSEGS .For example it generated two line items with posting keys '15' and '40' and these both are displayed in VBSEGS whereas posting key '15' has to be displayed in VBSEGD.
    when i check this Document in FBV0 Error reflect " G/L Account 0012000 1001 Does not Exist ".
    Here my code -
    DATA:   XT_BKPF LIKE  BKPF OCCURS 0 WITH HEADER LINE ,
            XT_BSEG LIKE  BSEG OCCURS 0 WITH HEADER LINE ,
            XT_BSEG1 LIKE  BSEG OCCURS 0 WITH HEADER LINE ,
            XT_BSEC LIKE  BSEC OCCURS 0 WITH HEADER LINE ,
            XT_BSET LIKE  BSET OCCURS 0 WITH HEADER LINE ,
            XT_BSEZ LIKE  BSEZ  OCCURS 0 WITH HEADER LINE ,
            XT_BKORM  LIKE  BKORM OCCURS 0 WITH HEADER LINE ,
            XT_THEAD  LIKE  THEAD OCCURS 0 WITH HEADER LINE ,
            XT_SPLTTAB  LIKE  ACSPLT  OCCURS 0 WITH HEADER LINE ,
            XT_SPLTWT LIKE  WITH_ITEMX  OCCURS 0 WITH HEADER LINE .
    DATA :    XTEXT_UPDATE  LIKE  BOOLE-BOOLE VALUE SPACE,
              XTEXT_ITEM_UPDATE LIKE  BOOLE-BOOLE VALUE SPACE,
              XI_UF05A  LIKE  UF05A,
              XI_XCMPL  TYPE  XFELD VALUE 'X',
              XFS006_FB01 LIKE  FS006 ,
              XI_TCODE  LIKE  T020-TCODE  VALUE 'F-65',
              XI_PARGB  LIKE  RF05A-PARGB        ,
              XI_TCODE_INT  TYPE  TCODE           .
    DATA P_RETURN LIKE BAPIRET2 OCCURS 0 WITH HEADER LINE.
    XT_BKPF-BUKRS     =     'CP01'.
    XT_BKPF-GJAHR     =     2011.
    XT_BKPF-BLART     =     'DZ'.
    XT_BKPF-BLDAT     =     SY-DATUM.
    XT_BKPF-BUDAT     =     SY-DATUM.
    XT_BKPF-MONAT     =     '06'.
    XT_BKPF-CPUDT     =     SY-DATUM.
    XT_BKPF-WWERT     = SY-DATUM.
    XT_BKPF-USNAM     =     'ABAPER'.
    XT_BKPF-TCODE     =     'F-65'.
    APPEND XT_BKPF.
    XT_BSEG-BUKRS     =     'CP01'.
    XT_BSEG-GJAHR     =     '2011'.
    XT_BSEG-BUZEI = '001'.
    XT_BSEG-BSCHL = '40'.
    XT_BSEG-KOART = 'S'.
    XT_BSEG-SHKZG = 'S' .
    XT_BSEG-GSBER     =     'CPLN'.
    XT_BSEG-BUPLA = 'CP01'.
    XT_BSEG-WRBTR     =     10000.
    XT_BSEG-PSWSL = 'INR'.
    XT_BSEG-ZUONR = 'CH. 123456'.
    XT_BSEG-HKONT = '241000'.
    APPEND XT_BSEG .
    CLEAR  XT_BSEG.
    Vendor line item - required even for header only - BSEG table
    XT_BSEG-BUKRS     =     'CP01'.
    XT_BSEG-GJAHR     =     '2011'.
    XT_BSEG-BUZEI = '002'.
    XT_BSEG-BSCHL = '15'.
    XT_BSEG-KOART = 'S'.
    XT_BSEG-SHKZG = 'H' .
    XT_BSEG-GSBER     =     'CPLN'.
    XT_BSEG-BUPLA = 'CP01'.
    XT_BSEG-WRBTR     =     10000.
    XT_BSEG-PSWSL = 'INR'.
    XT_BSEG-ZUONR = 'CH. 123456'.
    XT_BSEG-HKONT = 'PC04000001'.
    APPEND XT_BSEG .
    CLEAR  XT_BSEG.
      CALL FUNCTION 'PRELIMINARY_POSTING_FB01'
       EXPORTING
         TEXT_UPDATE            = XTEXT_UPDATE
         TEXT_ITEM_UPDATE       = XTEXT_ITEM_UPDATE
      I_UF05A                =
         I_XCMPL                = XI_XCMPL
      FS006_FB01             =
          I_TCODE                = XI_TCODE
      I_PARGB                =
      I_TCODE_INT            =
      IMPORTING
        XEPBBP                 = CHECK_A
        TABLES
          T_BKPF                 = XT_BKPF
          T_BSEG                 = XT_BSEG
          T_BSEC                 = XT_BSEC
          T_BSET                 = XT_BSET
          T_BSEZ                 = XT_BSEZ
      T_BKORM                =
      T_THEAD                =
      T_SPLTTAB              =
      T_SPLTWT               =
              EXCEPTIONS
                ERROR_MESSAGE = 1.
      P_RETURN-ID         = SY-MSGID.
      P_RETURN-TYPE       = SY-MSGTY.
      P_RETURN-NUMBER     = SY-MSGNO.
      APPEND P_RETURN.
         p_return-MESSAGE_V1 = XSYMSGV.
      IF SY-SUBRC = 0.
        CALL FUNCTION 'BAPI_TRANSACTION_COMMIT'
          EXPORTING
            WAIT = 'X'.
      ENDIF.
      WRITE :/ sy-subrc , sy-MSGV1 .
    Thanks ,
    Ashish Gupta

    Hi Raghuram,
    I found a very important SAP Note 103051, details are below.
    An IDoc processed by function module IDOC_INPUT_INVOIC_MM (of category INVOIC01) must not refer to the same purchase order item in several invoice items. This is also valid if for a goods receipt-related invoice verification several delivery notes belong to the same purchase order item.
    Depending on the system settings and the situation, various error messages can occur (for example, FD240 'Order item ... selected more than once' or M8050 'Balance not zero: & debits: & credits: &').
    In this situation module IDOC_INPUT_INVOIC_MRM generates error message M8321 'Document contains same order item more than once'.
    For example, this situation occurs if you work with individual batch valuation and the SD billing document executes a batch split for different batches which belong to the same purchase order item and delivery.
    Other terms
    INVOIC, SAPLIEDI,  M8047, M8, 321
    Reason and Prerequisites
    This is because of the program design.
    Solution
    There is no solution for IDOC_INPUT_INVOIC_MM.
    Module IDOC_INPUT_INVOIC_MRM (only as of Release 4.0) for the logistics invoice verification can distinguish different goods receipts by means of the delivery note number. For this purpose, GR-related invoice verification must be active.
    Owing to this symptom, billing documents for single batch valuation with batch split cannot be settled in MM-EDI inbound processing. The settlement generates exactly the situation described (several invoice items for the same purchase order item). In this case, the only solution is to deactivate the billing of the batch sub-items in SD Customizing and to calculate the main item only.
    Hope this helps.
    Reward if helpful.
    Thanks

  • Shopping cart created with one line item with qty 10  . PR need to be creat

    Hi gurus
    1SC created for  ONE LINE ITEM with QTY  10
    PR need to be created with  10 LINE ITEMS with Qty 1.
    Classic Scanario
    Advise .
    2.Also please let me know  what the batch jobs for  delta  ( user data or HR data) upload. To upload all user changed data synchonization job
    3.Also please let me know what is the batch job for  escalation emails for approvals
    SD

    close not answered

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