How to open balances for new company

Please
tell me how to imort the balances of G/L a/c, Business Partner, Stock of new define company.
Regds
Narendra

Hi,
The opening balances import can be performed using data transfer workbench. The SAP language for that is data migration and opening balance. I have the file and you can send me your e-mail to [email protected] if you need it.
Btw, you could see the excel template samples in the folder C:\Program Files\SAP\Data Transfer Workbench\Templates\Data preparation examples\10. Testcase1_Test Data for Import function. You must prepare the outstanding invoices, COA, BP master data and stocks in warehouse, etc. It is really needed to fill in the excel template. Working together with technical consultant is better. Do not forget to look for assistance using SDK help files in this folder : C:\Program Files\SAP\SAP Business One SDK\Help.
When you are performing the DTW job, remember that the errors happened usually caused by wrong setting or data setting in the data transfer workbench (DTW) excel template.
Rgds,

Similar Messages

  • HOW TO CARRY FORWARD RG1 CLOSING BALANCE TO OPENING BALANCE FOR NEW FISCAL

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    Hi Rohan,
    For RG1 and RG23 A Part I and RG23 C Part I
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    use following
    http://help.sap.com/bp_bblibrary/470/Documentation/J33_BPP_32_CHEM_EN_IN.doc
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  • Entering opening balance for a new company

    Hi all
    I am using AP, GL and CM. After successful testing on test environment the customer now is forwarding in live environment.
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    The question is here. These three journals are not balanced, and i wanted a suggestion which is the best way to enter the open balance for this customer.
    Thank you and best regards

    Hi Octavio
    So the document sent from the customer is like this:
    Acc. No------------Debit ALL-----Credit ALL----------Debit EUR-------Credit EUR----------------Debit USD----------Credit USD
    Acc. 1--------------100
    Acc. 2--------------150-------------------------------------100
    Acc. 3--------------150-------------------------------------100
    Acc. 4--------------200-----------------------------------------------------------------------------------------200
    Acc. 5--------------200-----------------------------------------------------------------------------------------200
    Acc. 6---------------------------------800
    Now accounts in foreign currency should have their balances in foreign currency and the converted amount is giving the balance in local currency.
    so i have to register three journals or am i wrong?? As you can see the journals in each currency are not balanced.
    Thanks again
    Edited by: user567002 on Nov 26, 2010 3:13 AM
    Edited by: user567002 on Nov 26, 2010 3:15 AM

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    Dear Experts,
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    Hi
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  • How to query the opening balance for an specific account for an spec. date

    Hi all,
    for my user query I need to calculate the opening balance for an cash account for an specific date.
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    Hi Inna,
    to find the opening balance for an account or a business partner, please see SAP Note [1114253|https://service.sap.com/sap/support/notes/1114253] :
    Symptom
    How to find the opening balance of a business partner or G/L account.
    Other terms
    Account, customer, supplier, vendor, creditor, debitor, start, initial, first, opening balance, business partner, G/L, SAP Business One
    Reason and Prerequisites
    Consulting
    Solution
    There are several possible approaches:
    Approach 1 - Business Partner Opening Balance:
    1. Go to Business Partners -> Business Partner Master Data -> find the Business Partner
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    3. Untick the boxes next to 'Posting date from', 'Display' and 'Display Unreconciled Trans. Only'.
    4. Click on the button 'Refresh'.
    5. Find 'OB' in the column 'Origin', this is the opening balance journal entry.
    Approach 2 - Business Partner Opening Balance:
    1. Go to Business Partners -> Business Partner Master Data.
    2. Click on the orange link arrow next to the field 'Account Balance' in the header region of the window.
    3. Untick the boxes next to 'Posting date from', 'Display' and 'Display Unreconciled Trans. Only'.
    4. Click on the button 'Refresh'.
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    Approach 3 - G/L Account Opening Balance:
    1. Go to Financials -> Chart of Accounts -> click on the account name once.
    2. Click on the orange link arrow next to the field 'Balance'.
    3. Untick the boxes next to 'Posting date from', 'Display' and 'Display Unreconciled Trans. Only'.
    4. Click on the button 'Refresh'.
    5. Find 'OB' in the column 'Origin', this is the opening balance journal entry.
    Approach 4 - Business Partner and/or G/L Account Opening Balance:
    1. If using SAP Business One 2005 SP01 or earlier, go to Reports -> Query Generator -> click on 'Execute'.
    2. If using SAP Business One 2007 or later, go to Tools -> Queries -> Query Generator -> click on 'Execute'.
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    Kerstin

  • How to get Open Balance for the year and Total Ending Balance?

    For a given account, how to get Open Balance for the year (Cumulative Ending Balance) and Total Ending Balance (Cumulative Ending Balance)?
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    Hello Paul,
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    BAPI_GL_ACC_GETBALANCE      
    BAPI_GL_ACC_GETCURRENTBALANCE
    BAPI_GL_ACC_GETPERIODBALANCES
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    Cheers,
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    Edited by: Sougata Chatterjee on May 7, 2008 11:47 AM

  • How to enter opening balance for GL A/C(Ex. Bank A/C, Cash A/C, Vendor A/C)

    Hi Expert,
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    Example
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    With Warm regards,
    Selva

    Dear,
    As per SAP standard there is no need to carry forward the balances as the system will do a virtual carry forward into next year opening without creating any FI documents.
    If your business scenario demands then you can use the transaction code F-02 for posting a carry forward balances, this will not effect any of your balances but only creates a FI document.
    If your R3 version is SAP ECC5 or 6 then use the transaction code FAGLGVTR

  • 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 ..
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    First get all items from BSEG ..
    Select * from BSEG where KUNNR eq 'K'
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    Second get the cleared items form BSAD for the above entries;
    Select * from BSAD for all entries in BSEG where KUNNR and BUKRS and XBLNR eq BSEG-XBLNR.
    Sum all DMBTR values ( this is cleared value).
    Third substract the cleared value from total to get Open value.
    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 ....
    Thanks,
    Aditya. V

  • How to query opening balance for all customer or Vendor for an speci. date

    Hi,
    How to query opening balance for all customer or Vendor for an specific date?
    Example:
    put any date and query will show all customer/ Vendor  that date opening/current balance.
    Regards,
    Mizan

    Hi mizan700 ,
    Try this
    SELECT T0.[DocNum] As 'Doc No.', T0.[CardCode] As 'Customer Code',
    T0.[CardName] As 'Customer Name',(T0.[DocTotal]-T0.[PaidSys]) As 'O/S Balance'
    FROM OINV T0 INNER JOIN OCRD T1 ON T0.CardCode = T1.CardCode
    INNER JOIN OCRG T2 on T1.GroupCode = T2.GroupCode
    INNER JOIN INV1 T3 ON T0.DocEntry = T3.DocEntry
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    Regards:
    Balaji.S

  • How to get the opening balances for lessthan selected date in cubes.

    Hi All,
    my task is to get the opening balances for the selected date.
    Ex: If I select date say 31-1-2013, I should get the sum of values which are less than the selected date.
    in sql:
    select sum(balance) from banktrans where banktrans.transdate < 31-1-2013;
    BankTable                            BankTrans
    BankId                               BankId
                                            balance
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    SCB
    BankTrans(records):
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    How can i achieve this?  
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    Dear David,
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    FORMAT_STRING
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    can you plz check the above once and guide me.
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  • How to find opening balance for customer?

    Hello Abapers,
    I have a requirement as i need to find opening balance for particualr customer in a  company.This is related to FI/CO modules.Please solve my porblem.
    Waiting for your favourable replies
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    Maruthi

    Hi Maruthi,
       Opening balance for a cutomer for a given period, u need to first find closing balance of that customer in the previous period. For eg. Suppose u want to find opening balance for customer 'A' for month of Nov'06, then U have to find wot was his closing balance in at end of Oct'06. Hope this solves u r problem

  • How to find Opening Balance for Cash Book

    Hello Friends,
    I am Creating one Report for Cash Book.(Means : For Perticuler GL Account)
    I have no idea how to find Opening Balance for some Perticuler Date.
    Ex.
         Current date: 07/06/2007
        and i want to find Opening Balance on 26/05/2007
    i have Function for Calculating Opening Balance,                                                                               
    Group No: 3006             Business Object General Ledger Account  
    BAPI_GL_ACC_EXISTENCECHECK     Check existence of G/L account                  
    BAPI_GL_ACC_GETBALANCE     Closing balance of G/L account for chosen year  
    BAPI_GL_ACC_GETCURRENTBALANCE  Closing balance of G/L acc for curr year
    BAPI_GL_ACC_GETPERIODBALANCES  Posting period balances for each G/L account    
    but they show current opening balance, and i want for perticulaer Date..
             How to find Opening Balance for Cash Book
    please Help me out
    Thanks
    Gaurav Tripathi

    Hi Maruthi,
       Opening balance for a cutomer for a given period, u need to first find closing balance of that customer in the previous period. For eg. Suppose u want to find opening balance for customer 'A' for month of Nov'06, then U have to find wot was his closing balance in at end of Oct'06. Hope this solves u r problem

  • How to enter opening balances for business partners

    pls let me know end to end process to enter opening balances for business partners.
    thank
    reema

    Hi Reema....
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    If you want to go for Bill wise then its better to upload the AP and AR invoice under service category via DTW.
    If you want to go for Total BP balance then go to Administration> System Initialization> Opening Balance--> Opening Balance Business Partner.
    Regards,
    Rahul

  • Deactivating 2 company codes and transferring balances to new company code

    Hi Gurus,
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    Thanks,
    Sree

    You can use the transaction F-04 to transfer the balance from one company code to another..
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  • Opening Balances for Previous Periods

    Hi Experts,
    There is a client requirement of entering opening balances for GL for previous periods before going live.
    eg it is required to have OB for 2006,2007 and 2008 before live transactions are entered into the system.
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    Regards,
    Asap

    Hi Asap,
    You could only have one OB for one account.  If those OB for different years are for different accounts, it is ok.  Otherwise, you have 2006 OB only. You may create JE to get something like OB for 2007 and 2008.
    Thanks,
    Gordon

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