How to calculate open balance Vendor Line Item Display(FBL1N)..?

hi,
is there any way to fetch data for open balnce in vendor report display(FI).
As I have to calculate Credit , Debit and Open balace , also Balance  as on date. in Zreport with reff of FBL1N.
Vendor item data has been calculated from BSIk table. also  open balance has to be fetched from with reference of Clearing doct and posting doct. i have
so if any FI technical or non techincal person has gone thru these things, those who have clear picture on these plese let me know.
Thnks in advance.

Please note that most vendor line items wont have a PC assigned to them.
I am not sure if you are refering to classic view or new GL data.
Anyway you can use the sum button, and sub total for your levels.
If you want to get the information sub totalled by PC, then I guess you are using the new GL and document splitting.
If that is the case you cannot use FBL1N for this.
There is however a set of reports in Accounts Payable, called new Gl reports and they will provide you the general ledger view and not the entry level view, and you can use the sum and sub total option.
Please award points if this is useful.
Come back if you need further help.

Similar Messages

  • Vendor Line Item Display (FBL1N)

    Hi,
    I would like to prepare a new layout for transaction FBL1N (Vendor Line Item Display).
    I only want to see a summarized view of the open line items per Profit Center.
    How can I change the summation levels?
    Thanks.
    Kind regards,
    Linda

    Please note that most vendor line items wont have a PC assigned to them.
    I am not sure if you are refering to classic view or new GL data.
    Anyway you can use the sum button, and sub total for your levels.
    If you want to get the information sub totalled by PC, then I guess you are using the new GL and document splitting.
    If that is the case you cannot use FBL1N for this.
    There is however a set of reports in Accounts Payable, called new Gl reports and they will provide you the general ledger view and not the entry level view, and you can use the sum and sub total option.
    Please award points if this is useful.
    Come back if you need further help.

  • To Insert Header Field for  Vendor Line Item Display FBL1N

    Hai All,
    I got a requirement that i have to add a Header item in the standard Tcode FBL1N. The client requirement is to add the Balance Carry Forward Amount Field in the Header level of the Output display.
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    Please note that most vendor line items wont have a PC assigned to them.
    I am not sure if you are refering to classic view or new GL data.
    Anyway you can use the sum button, and sub total for your levels.
    If you want to get the information sub totalled by PC, then I guess you are using the new GL and document splitting.
    If that is the case you cannot use FBL1N for this.
    There is however a set of reports in Accounts Payable, called new Gl reports and they will provide you the general ledger view and not the entry level view, and you can use the sum and sub total option.
    Please award points if this is useful.
    Come back if you need further help.

  • The usage about "vendor line item display"(FBL1N)

    Hi,
    The field of "amount in local currency" in the above list is a amount including tax, Is there any way to display the amount tax amount and AP amount without tax respectively ?
    Thank you !

    AS THIS IS A FINAL THING AFTER RELEASING FROM MATERIAL OR SALES to accounting. THE AMOUNT WILL COME AS A WHOLE. SO TAKE THE DOCUMENT NUMBER & GO TO THE T.CODE <b>FB02</b>. GO TO THE DOCUMENT OVERVIEW. YOU WILL GET THE DETAIL INVOICE WITH OR WITHOUT THE TAX.
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  • Vendor line item display -effective exchange rate showing inverse

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  • Withholding tax showing zero value in vendor line item display report

    Hello Friends,
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    Regards,
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    Hi,
    1.Please check the WHT config has been done properly.
    2.Check the vendor master and varify tax fields are filled up.
    Regards

  • How to calculate Opening balance for a customer?

    Hi Experts,
    How to calculate Opening balance for a customer? I am trying to develop a report where in i have to get opening AR balance,current sales,adjustments etc of a customer. Please let me know how can i do this. I have some tables with me KNC1, BSAD, BSID.
    Thanks in Advance.
    Sharat Chandra.

    Say for example ..
    Get the opening bal for Customer 'K' in CCode 'C1' in 2008 ..
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    Select * from BSEG where KUNNR eq 'K'
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    This is a overview .. you should go to the tables and look for fields and etc.. and then define the logic meeeting your requirements .... this is a genric undersatnding ....
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  • How to Calculate Opening balance

    Hi BW Gurus,
    How to calculate Opening balance for previous period using variables in Reports using debit and credit.
    Example:
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    DJ

    Hi Friend,
    If Your Prob is solve then tell me how to find perticular month balance amount.
    i m create cash book report for perticuler GL Account , i use BKPF + BSEG for this
    i found all entries,
    But at last i want to Opening Balance for perticuler date.
    like     01/05/2007 opening balance = 10000 as per tcode FS10N
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    From
    Gaurav

  • HOW TO CALCULATE OPENNING BALANCE

    HI Experts..
    How to calculate Opening balance for previous period using variables in Reports using debit and credit.
    Example:
    Opening balance is the balance for an account for the previous period. In other words, if the user is running a report for Period 1, 2006, the opening balance is actually the ending balance from Period 12, 2005 (December 31st, 2005).
    I am Using 0FIAR_O03 ODS ..
    Very Urgent Issue..
    If Possible Stp by Step..
    Cheers
    Purushottam
    09891683828
    [email protected]

    Hi Saloni,
    to get the debit and credit you would be using a variable 0I_FPER(Fiscal year / period), which is a user entry interval variable.
    now to get the opening balance you will have to create a customer exit valiable and the low value of 0I_FPER will have to popuplated by writied the code for the customer exit valiable. you will have to restrict the key figure DEB_CRE_LC for this customer exit variable with the operand as less than(< Fiscal Year /Period from 0I_FPER)).
    If the above was useful please assign reward points.
    Regards
    Venkata Devaraj

  • PO no not reflecting in GL/ Vendor line item display

    Hi Guys,
    Please let me know that why PO no (column is displaying but) data not reflecting in GL/ Vendor line item display using TCode FS10N? What may the possible reasons and how I can get the data flow in the column?

    Hi Amit,
    You are right and I've changed the layout. I've already said that the field displaying there but data is not flowing in the field. I mean to say that PO no is not reflecting in the specified field. However I am able to get the PO no. in  Assignment field. What may be the reason and how I get the data (PO no.) in this field?

  • Vendor line item display with internal order

    In Vendor line item display is it possibe to see details of the line item of offsetting account .
    For example a expense account is debited & vendor account is credited .At the time expense account debit a internal order has been assigned in line item.
    User wants to see the vendor line item display ( T code FBL1N) with details of internal order appearing in open  line items display  etc .
    Is this possible .I created a layout with order as a field but order does not show any values in the line display of vendor.
    Please revert back if this can be possibe.
    Thanks
    Manoj

    with a combination of notes
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    373268 - Line item - new display field
    569939 - Line item - Open FI - Absolute amounts
    1034354 - FAGLL03 - Display of offsetting account information
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  • Vendor Line Item display/ and Purchase order Field

    FI Experts
    We recently implemented the MM PO module in SAP, we are creating PO's automatically in SAp from a 3 party system. We are using field "Our Field" EKKO-UNSEZ to enter a reference from the 3rd party system. Our account payable have requested that they need this field to display in FBL1N "Vendor Line Item Display". I tried by using special fields but table is not available. Anyone has any suggestions? I know I can use BSEG and EKKO but it is too big of a table to use. Does this requires more of an ABAP report rather than just a simple QUERY report?
    Your suggestions are appreciated.

    Hi,
    PO Nr. doesn't appear in Vendor line item, but yes, in GRIR account.
    So when are you performing MIRO, you may use XREF3 field, which usually remains blank, through user exit (OBBH) for populating PO Nr. But yes, if you are processing MIRO of multiple POs, you may not be able to set multiple values.
    BR

  • GL Line Item Display vs. Vendor Line Item Display

    Hi Gurus,
    I have parked a document with a vendor line item. When generating
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    Please confirm if this is a standard behaviour and why.
    Thanks and best regards

    HI
    I knew that, a complete FI document wont give such error thats why i asked for Document type ,You please note each document type has its own characteristic.
    Hope your query closed
    Thanks

  • Vendor Line Item Display-Default value for customer items

    Is it possible in selection screen of transaction FBL1N (Vendor line item display) the default value of field "customer items" to be checked?
    Thanks in advance.

    hi Tsiami
    it's not possible. if u want check customer line items go throw this TC:FBL5N
    plz assign points
    regards
    sivareddy.

  • In vendors line item display in FBL1N

    Hi SAP guru's
    could you pls check & let me know if the Cost center and WBS elements can be displayed in SAP transaction FBL1N- "Vendor Line Item display".
    as per your answer, cost center and wbs elements r displayed in FBL1N but i need to display values in CC & WBS Element. during the transaction in F-43 i have assigned cost center and wbs element accordingly but in FBL1N values r not displayed. pl let me know the reasons r the same. pl provide step by step i am fresher in sap
    hope u r sending the answer to me very soon
    regards
    venkat
    Message was edited by:
            Venkata Krishna

    Hello Venkata,
    Please click on the change layout button(on the screen of FBL1N scrren). Then you can drag and drop from the right sided column to left sided columnsthe field like cost centre and WBS element which you want in report.
    Hope this helps. please rewards points before closing the thread.
    Rgds
    manish

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