How to synch values of fields (cbo & text) in Master Pages section in dynamically created pages?
HI folks,
I have a requirement for a form that has a common master page with a checkbox and text field in it. The document is basically a table that dynamically adds rows as the user adds entries. When the first page is full, a second page is dynamically created and the Master page format (including the checkbox & text field) applied to it.
When the user sets the checkbox on one page and/or adds text, all of the checkboxes on all of the dynamically created pages (in the master section) and all of the text boxes need to change to show the same values.
However, I can't figure out how to address the fields on the other pages. The number of pages changes from user to user, so I can't address them with a static reference.
Does anyone know how to keep these fields in synch?
Thanks in advance!
It woudl be easier to show than to explain it ...can you share the file? You can send it to [email protected] Include a description of the issue with your email please.
Paul
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How to bring Profit center field in to asset master
HI,
We are having new GL Profit center scenario active. My question is
1.How to bring Profit center field in to Asset Master?
I am not finding the field"Profit Center" under the configurations step Asset Accounting>Intergration with GL Accounting>Additional Account Assignment objects>>Activate Account assignment objects.
I know how to do it if it the Profit center field appears in the above step.HOW TO INCLUDE in the above step??Is there any prior activity I need to do?
2.If I could see the Profit Center field in the above step,then I can add it in T Code ACSET and select the field in Asset Screen Layout,so that it can come up in Asset Master.
If question#1 can be answered it will be great.
thanjs
hinfiHi,
Until some years ago Profit Center did not exist in FI-AA master data. The Profit Center was derived from other objects (like the cost center) during posting, but there was no way to enter a Profit Center directly in the asset.
Asset master data has been enhanced with EHP 5 to contain also fields for Profit Center and Segment. To make use of that functionality you need to activate the Business Function for "Segment Reporting" as explained in the Link posted by Jayj before.
Once Business Function "Segment Reporting" is active, you will be able to make ACSET settings for the Profit Center like for the other account assignment objects. Without the Business Function the field does not exist in asset accounting and therefore you cannot find it in customizing.
Regards, Michael -
How to change value date field
HI,
After posting the transaction data into the document , is it possible to change the 'value date' . if it is possible pl.give me guidelines . As i know it is possible to change "Assignmentand Text filed"
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PrabhakarHi,
Check in document change FB02.
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How to retrieve the Page ID of newly created page in site pages library using javascript
I am creating the page programmatically under site pages library and want to get the ID of that newly created page.
Hi,
The following JavaScript Code for your reference:
<script src="http://code.jquery.com/jquery-1.11.2.min.js" type="text/javascript"> </script>
<script type="text/javascript">
$(document).ready(function () {
var requestUri = _spPageContextInfo.webAbsoluteUrl + "/_api/web/lists/GetByTitle('Site Pages')/items?$select=ID&$orderby=Created desc&$top=1";
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url: requestUri,
type: "GET",
headers: { "ACCEPT": "application/json;odata=verbose" },
success: function (data) {
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alert("Failed to get customer");
</script>
Best Regards
Dennis Guo
TechNet Community Support -
How to make a custom field as text as well as value fied in ad hoc query
hi,
i have created a custom infotype 9004 in which the custom field contain the code values, and the text of this code values are maintained in another ztable.
when i am viewing this infotype in Ad hoc query i am able to see this fields as only value fields and hence i am unable to get text for this field i.e when we right click on this field only the value option is enabled and the text option is disabled, both these options are enabled in some other standard fields like pernr(personnel no), persg(employee group),persk(employee subgroup).
can anybody suggest me how to enable both these options for custom fields.Assign you table of text as a table text to the data element/domain of your custom field or thru external key on your infotype.
Query is able to analyse these links.
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How to populate internal table field with text data?
Hello Experts,
I was able to load text file to a internal table but data is not populating each field. Can someone help me how to populate each field of internal table from text file?
Here is the text file:
io_name, io_type, io_txsht, io_txlng, io_datatype, io_length
ZEA_IO1, CHA, IO Test, IO Test 1, CHAR, 20
ZEA_IO2, CHA, IO Test, IO Test 2, CHAR, 20
Here is the Code:
*& Report ZAS_BAPI_TEST *
*& InfoObject Creation through BAPI.
*& Read the Text file, call a BAPI to create InfoObjects. *
*& Text file will hold the Info Object Structure. Text file will be *
*& located either work station or local PC.
*& Step 1. Create internal table to hold InfoObject structure *
*& Step 2. Retrieve/Load text file into Internal Table structure *
*& Step 3. Call BAPI Function to Create IO *
*& Step 4. Call BAPI Function to Activate IO *
REPORT ZAS_BAPI_TEST .
Make data separator a comma
CONSTANTS: gc_tab TYPE c VALUE ','.
Declaring Internal table for creating InfoObject
DATA: p_file TYPE string.
DATA: BEGIN OF itab-bapi OCCURS 0,
io_name like BAPI6108-infoobject,
io_type like BAPI6108-type,
io_txsht like BAPI6108-textshort,
io_txlng like BAPI6108-textlong,
io_datatype like BAPI6108-datatp,
io_length like BAPI6108-intlen,
END OF itab-bapi.
DATA ibapi LIKE STANDARD TABLE OF itab-bapi.
PARAMETERS: sel_file(1500) TYPE c default ' ' OBLIGATORY LOWER CASE.
PUT THE TEXT FILE PATH TO P_FILE
p_file = sel_file.
Copy the file from the workstation to the server ****
CALL FUNCTION 'GUI_UPLOAD'
EXPORTING
filename = p_file
FILETYPE = 'ASC'
HAS_FIELD_SEPARATOR = SPACE
HEADER_LENGTH = 0
DAT_MODE = SPACE
CODEPAGE = SPACE
IGNORE_CERR = ABAP_TRUE
REPLACEMENT = '#'
READ_BY_LINE = 'X'
IMPORTING
FILELENGTH =
HEADER =
TABLES
data_tab = itab-bapi[]
EXCEPTIONS
file_open_error = 1
file_read_error = 2
no_batch = 3
gui_refuse_filetransfer = 4
invalid_type = 5
no_authority = 6
unknown_error = 7
bad_data_format = 8
header_not_allowed = 9
separator_not_allowed = 10
header_too_long = 11
unknown_dp_error = 12
access_denied = 13
dp_out_of_memory = 14
disk_full = 15
dp_timeout = 16
not_supported_by_gui = 17
error_no_gui = 18
OTHERS = 19.
IF sy-subrc <> 0.
MESSAGE ID SY-MSGID TYPE SY-MSGTY NUMBER SY-MSGNO
WITH SY-MSGV1 SY-MSGV2 SY-MSGV3 SY-MSGV4.
MESSAGE e012(zea_spms) WITH 'Method' 'GUI_UPLOAD' sy-subrc.
&1 &2 issued return code &3
ELSE.
pit_data[] = lit_data[].
ENDIF.
ENDIF.
loop at itab-bapi.
write: /5 itab-bapi-io_name,
20 itab-bapi-io_type,
30 itab-bapi-io_txsht,
50 itab-bapi-io_txlng,
75 itab-bapi-io_datatype,
85 itab-bapi-io_length.
endloop.
SELECT THE LOCATION FOR TEXT FILE
AT SELECTION-SCREEN ON VALUE-REQUEST FOR sel_file.
CALL FUNCTION 'WS_FILENAME_GET'
EXPORTING
def_filename = ''
def_path = 'C:\'
mask = ',Documentos de texto (*.txt), *.txt.'
mode = ''
IMPORTING
filename = p_file
EXCEPTIONS
inv_winsys = 1
no_batch = 2
selection_cancel = 3
selection_error = 4
OTHERS = 5.
find '.txt' IN p_file.
if sy-subrc <> 0.
concatenate p_file '.txt' into sel_file.
else.
sel_file = p_file.
endif.
Create InfoObject through BAPI Function
*CALL FUNCTION 'BAPI_IOBJ_CREATE'.
*IMPORTING
VALUE(DETAILS) LIKE BAPI6108 STRUCTURE BAPI6108
*EXPORTING
VALUE(INFOOBJECT) LIKE BAPI6108-INFOOBJECT
VALUE(RETURN) LIKE BAPIRET2 STRUCTURE BAPIRET2
TABLES
COMPOUNDS STRUCTURE BAPI6108CM OPTIONAL
ATTRIBUTES STRUCTURE BAPI6108AT OPTIONAL
NAVIGATIONATTRIBUTES STRUCTURE BAPI6108AN OPTIONAL
ATRNAVINFOPROVIDER STRUCTURE BAPI6108NP OPTIONAL
HIERARCHYCHARACTERISTICS STRUCTURE BAPI6108HC OPTIONAL
ELIMINATION STRUCTURE BAPI6108IE OPTIONAL
RETURNTABLE STRUCTURE BAPIRET2 OPTIONAL
Activate InfoObject through BAPI Function
CALL FUNCTION 'BAPI_IOBJ_ACTIVATE_MULTIPLE'
*ENDFORM. " RETRIEVE_DATASET
I appreciate your help.
Regards,
MauI have used tab delimited file.
Here are file contents
io_name io_type io_txsht io_txlng io_datatype io_length
ZEA_IO1 CHA IO Test IO Test 1 CHAR 20
ZEA_IO2 CHA IO Test IO Test 2 CHAR 20
And here is program used
*& Report ZAS_BAPI_TEST *
*& InfoObject Creation through BAPI.
*& Read the Text file, call a BAPI to create InfoObjects. *
*& Text file will hold the Info Object Structure. Text file will be *
*& located either work station or local PC.
*& Step 1. Create internal table to hold InfoObject structure *
*& Step 2. Retrieve/Load text file into Internal Table structure *
*& Step 3. Call BAPI Function to Create IO *
*& Step 4. Call BAPI Function to Activate IO *
REPORT ZAS_BAPI_TEST .
Make data separator a comma
CONSTANTS: gc_tab TYPE c VALUE ','.
Declaring Internal table for creating InfoObject
DATA: p_file TYPE string.
DATA: BEGIN OF itab-bapi OCCURS 0,
io_name like BAPI6108-infoobject,
io_type like BAPI6108-type,
io_txsht like BAPI6108-textshort,
io_txlng like BAPI6108-textlong,
io_datatype like BAPI6108-datatp,
io_length like BAPI6108-intlen,
END OF itab-bapi.
DATA ibapi LIKE STANDARD TABLE OF itab-bapi.
PARAMETERS: sel_file(1500) TYPE c default ' ' OBLIGATORY LOWER CASE.
PUT THE TEXT FILE PATH TO P_FILE
p_file = sel_file.
Copy the file from the workstation to the server ****
CALL FUNCTION 'GUI_UPLOAD'
EXPORTING
filename = p_file
<b>FILETYPE = 'ASC'
HAS_FIELD_SEPARATOR = 'X'</b>
TABLES
data_tab = itab-bapi[]
EXCEPTIONS
file_open_error = 1
file_read_error = 2
no_batch = 3
gui_refuse_filetransfer = 4
invalid_type = 5
no_authority = 6
unknown_error = 7
bad_data_format = 8
header_not_allowed = 9
separator_not_allowed = 10
header_too_long = 11
unknown_dp_error = 12
access_denied = 13
dp_out_of_memory = 14
disk_full = 15
dp_timeout = 16
not_supported_by_gui = 17
error_no_gui = 18
OTHERS = 19.
IF sy-subrc <> 0.
MESSAGE ID SY-MSGID TYPE SY-MSGTY NUMBER SY-MSGNO
WITH SY-MSGV1 SY-MSGV2 SY-MSGV3 SY-MSGV4.
MESSAGE e012(zea_spms) WITH 'Method' 'GUI_UPLOAD' sy-subrc.
&1 &2 issued return code &3
ELSE.
pit_data[] = lit_data[].
ENDIF.
ENDIF.
loop at itab-bapi.
write: /5 itab-bapi-io_name,
20 itab-bapi-io_type,
30 itab-bapi-io_txsht,
50 itab-bapi-io_txlng,
75 itab-bapi-io_datatype,
85 itab-bapi-io_length.
endloop.
SELECT THE LOCATION FOR TEXT FILE
AT SELECTION-SCREEN ON VALUE-REQUEST FOR sel_file.
CALL FUNCTION 'WS_FILENAME_GET'
EXPORTING
def_filename = ''
def_path = 'C:\'
mask = ',Documentos de texto (*.txt), *.txt.'
mode = ''
IMPORTING
filename = p_file
EXCEPTIONS
inv_winsys = 1
no_batch = 2
selection_cancel = 3
selection_error = 4
OTHERS = 5.
find '.txt' IN p_file.
if sy-subrc <> 0.
concatenate p_file '.txt' into sel_file.
else.
sel_file = p_file.
endif.
Create InfoObject through BAPI Function
*CALL FUNCTION 'BAPI_IOBJ_CREATE'.
*IMPORTING
VALUE(DETAILS) LIKE BAPI6108 STRUCTURE BAPI6108
*EXPORTING
VALUE(INFOOBJECT) LIKE BAPI6108-INFOOBJECT
VALUE(RETURN) LIKE BAPIRET2 STRUCTURE BAPIRET2
TABLES
COMPOUNDS STRUCTURE BAPI6108CM OPTIONAL
ATTRIBUTES STRUCTURE BAPI6108AT OPTIONAL
NAVIGATIONATTRIBUTES STRUCTURE BAPI6108AN OPTIONAL
ATRNAVINFOPROVIDER STRUCTURE BAPI6108NP OPTIONAL
HIERARCHYCHARACTERISTICS STRUCTURE BAPI6108HC OPTIONAL
ELIMINATION STRUCTURE BAPI6108IE OPTIONAL
RETURNTABLE STRUCTURE BAPIRET2 OPTIONAL
Activate InfoObject through BAPI Function
CALL FUNCTION 'BAPI_IOBJ_ACTIVATE_MULTIPLE'
*ENDFORM. " RETRIEVE_DATASET
This program is working fine. You can test it.
Only problem is as the column headings are big for some columns, they are getting truncated which you can always change by changing the column width in declaration
Please let me know if this helps.
ashish -
Hi everyone ,
I am attaching files from local disk to CRM Opportunity by using method cl_crm_documents=>create_with_file .
I am able to see files in SAP frontend portal , but the problem is some of the fields in properties tab coming blank .
So how to find the NAME and VALUE fields of PROPERTIES structure in create_with_file .
Right now i am passing below fields these ar coming
"-----Filling Properties structure
ls_prop-name = 'KW_RELATIVE_URL'.
ls_prop-value = wa_path-ls_name.
APPEND ls_prop TO lt_prop.
ls_prop-name = 'DESCRIPTION '.
ls_prop-value = 'Strategy paper for action plan1' .
APPEND ls_prop TO lt_prop.
ls_prop-name = 'LANGUAGE'.
ls_prop-value = sy-langu.
APPEND ls_prop TO lt_prop.
but fileds like Attachment Type , Document Status , Line of Business , Business Year and Country of LE are not coming
as i frontend is a CRM custom application to mentain opportunity .
at prasent i am passing attribute Names and default values of these fields to properties structure but then also i am unable to see it in front end.
Please help if anybody knows where to find the NAME and VALUE fields for thse parameters.
Regards
ChetanI used insert statement to populate these fields in table CRMD_KW_DOC_GEN as these are custom fields.
Regards
Chetan -
How to get values of all input text of a form?
Hi,
I would like to know how to get all input text value of a form?
I try this:
List values = new ArrayList();
values = getBindings().getAttributeBindings();
for (Iterator iterator = values.iterator(); iterator.hasNext();) {
Object o = iterator.next();
if (o != null) {
if (o instanceof FacesCtrlAttrsBinding) {
System.out.println("Trace iterator=" + ((FacesCtrlAttrsBinding)o).getName());
src
In my jspx, I use panelTabbed component which is in af:form
With this code, I get all bindings name.
So I change the [structure |http://h.imagehost.org/0922/jdev.png] putting af:form in each item of my af:panelTabbed without succes.
The code trace all bindings again, and I just want to get the input text of the form (like *$_POST*, or *$_GET* in php)
How to do that?
Thanks for your help.Hi,
I try this:
private UIComponent getUIComponent(String name) {
FacesContext facesCtx = FacesContext.getCurrentInstance();
return facesCtx.getViewRoot().findComponent(name) ;
src
I post the structure again.
I try:
// f1 id of af:form
UIComponent test = getUIComponent("f1");
test is not null
// pfl1 id of af:panelFormLayout
UIComponent test = getUIComponent("pfl1");
but here test is null
I try
// f1 id of af:form
// pt1 id of af:pageTemplate
// pt2 id of af:panelTabbed
// sdi1 id of af:showDetailItem
// ps1 id of af:panelSplitter
// pgl32 id of af:panelGroupLayout
// pfl1 id of af:panelFormLayout
UIComponent test = getUIComponent("f1:pt1:pt2:sdi1:ps1:pgl32:pfl1");but I have this:
Error 500--Internal Server Error
javax.servlet.ServletException: java.lang.IllegalArgumentException: f1So I add
private static final char SEPARATOR_CHAR = ':';But I have the same error.
getUIComponent returns null with pt2,sdi1, ps1, pgl32, pfl1 and not null with f1, pt1.
I don't know why...
How can I get children (af:inputText) of pfl1 ?
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How to record value of field to perform action when saving with new value
Hi,
I have a multi-tabbed form (Forms 6i). I need to include code so that when a field is changed on one tab and is saved, then I need to update some fields on the other tabs.
My first question is: How can I record a copy of the field whenever data is brought into the form (ie: through a query), and then what is the best way to update the other data:
1) Update the database and then requery somehow
2) Update the fields on the other tabs and then commit to the database?
And roughly I how I do it?
Any help appreciated
Adam> if the user is inserting a new record and I try and use the DATABASE_VALUE property on that field.... what is going to happen?
Read the on-line help for Database_value. Use :System.record_status to determine if the record is being inserted, then don't get database_value. It is not clear, but I believe on such records, it returns the current value of the item, not a null value. Regardless, it is useless.
If you want to update fields in other blocks in your form automatically based on changes in a different block, you can start a non-repeating timer in a when-validate-item trigger on the field. When the timer expires, you can navigate to the other blocks and to various records, and update the fields in the other blocks. Then when the user commits, all changes will be applied together. The only trick to using a timer like that is that in the commit process, you also need to check to see if the timer exists, and if it does, delete the timer and do the updates to the other tables. -
How to populate values of field symbols?
HI,
I need to pass values into a field-symbol (defined as a dynamic Work Area) and append the values later on into another field-symbol (defined as a dynamic Table) by inserting the work area to the table. The insert statement in the screen shot below is syntetically correct but when I uncomment
* <gw_itab>-tplnr = 'TPLNR'.
* <gw_itab>-pmsog = 'PMSOG'.
* <gw_itab>-k_pro = 'K_PRO'.
I get a syntax error. During debugging if I pass the values of the work area, they are properly appended into the table.
Could somebody show me the code on how to atain this programatically?
Thanks for your help
CarlFrom the short dump:
"<GT_ITAB> has line type "v" and the length 24, but the work area has line type "g" and the length 8".
The code you included in your first screenshot is not the code that it dumped on... Looking at the shortdump here's what you have.
lv_fieldname = '<GW_ITAB>-TPLNR'.
assign (lv_fieldname) to <gw_itab>.
<gw_itab> = 'TPLNR'.
insert <gw_itab> into table <gt_itab>.
This code doesn't make any sense...
What you're saying is:
<gw_itab> points to <gw_itab>-tplnr. So now it points to just a field of the structure, not the whole structure.... Then you say that field is set to 'TPLNR'. So you set the field of the original structure called TPLNR to be the string "TPLNR"...
If that's really what you're trying to do then try changing it to:
field-symbols: <field> type any.
lv_fieldname = '<GW_ITAB>-TPLNR'.
assign (lv_fieldname) to <field>.
<field> = 'TPLNR'.
insert <gw_itab> into table <gt_itab>. -
User Exit: AFAR0002. How to change value in field: ANLC - NAFAP?
Hi,
At the moment I am working on custom Depreciation Key for which the depreciation for period (and subperiods) will be recounted and taken into account for depreciation posting.
I try to use exit AFAR0002 for this purpose.
I am able to count and change the value of depreciation for each subperiods. The problem is, that I cannot change the value of "Ordinary depreciation that is planned for the asset in the current fiscal year" for the pierod '000'. Due to this, in the last period of the current fiscal year system tries to reverse the sum of planned depreciation in previous subperiods. It simply tries to meet the "planned depreciation for fiscal year' with the sum of planned depreciation for subperiods.
example:
ANLC-NAFAP = 100.
Active Asset value = 1000
Depreciation for periods:
001 -> -50
002 -> -50
003 -> -50
004 -> -50
005 -> -50
006 -> -50
007 -> -50
008 -> -50
009 -> -50
010 -> -50
011 -> -50
*012 -> 450
planned value -> -100
The questions are:
1. is it possible to change value in ANLC-NAFAP in this exit
2. How it sould be done.
Thanks in advance for help.
Regards,
WojciechDear Paul,
I had run AFAR. The report changed to '0' the value of ANLC-NAFAP field - sth changed - thanks.
But I still have a problem to set this value to the sum of planned depreciation for each month. At the moment, in the last period the system tries to reverse all planned "sub"depreciation to '0' in total.
Is it any additional condition that has to be fulfilled in order to change the value of "Ordinary depreciation that is planned for the asset in the current fiscal year" for the pierod '000'?
Regards,
Wojciech -
How to insert values using pushputtons in text item & fetch data based on
Dear friends,
I want to insert values in the Text item using pushbutton e.g to insert 05CST884 into text item using pushbuttons '0' '5' 'C' 'S' 'T' '8' '8' '4' (alpha numeric buttons) in the layout editor and then fetch data based on the number entered with that of one in the table in the another text item2 in the layout editor.
Suggestions regarding how to develop and use effective triggers are welcome.At the block level (for the control block where all your push buttons are, let's call it block1) create a WHEN-BUTTON-PRESSED trigger. Your [A-Z] and [0-9] buttons should be on a dedicated non-database datablock to reduce problems. As stated previously, this trigger should just contain the code:
:block2.text_item := :block2.text_item||get_item_property(:system.trigger_item, label);
Also on the pushbutton block, create a backspacve button with its own dedicated WHEN-BUTTON-PRESSED trigger containing:
if length(:block2.text_item) > 0 then :block2.text_item := substr(:block2.text_item, 1, length(:block2.text_item)); end if;
This will hopefully erase the last character entered.
block2 should be based on the database table (see Property Palette --> Database) you wish to query and text_item should be based on the database item which contains the code you entered. All the other database items you wish to displayshould also be added to block2.
Add another FIND push button to block1 with the code:
go_block('block2');
execute_query;
Without writing the whole thing for you, I'd suggest you get a decent Forms tutorial book to guide you through the basics (Oracle Forms Developers Handbook). -
How set default value in field of new infotype
Hi experts!!
We have created a new infotype 9002. This infotype has two mandatories fields, one with the amount and another with the currency.
The currency always will be 'EUR', for this reason we would like to assign the default value for this field and the user only should fill the amount field.
How we should assing the default value to the field we have created in a new infotype 9002?
Kind regards,
JulianHawk,
Another option here will be to enhance infotype 9002 screen 2000 PBO logic. Add a PBO module with the following logic:
Begda hat sich vielleicht geändert.
PERFORM re500c(sapfp50m) USING psyst-land p9002-begda. "K35729
IF p9002-waers IS INITIAL. "QNUK110803
IF t500c-waers IS INITIAL. "QNOK034099
MOVE t001-waers TO p0015-waers. "QNOK034099
ELSE. "QNOK034099
MOVE t500c-waers TO p9002-waers. "QNOK129756
ENDIF. "QNOK034099
ENDIF.
This is standard code extracted from infotype 0015 PBO logic. It default currency according to your country. -
How to retrive value of a Button that is assigned in the Button Dynamically
Hi All,
I am searching the user from LDAP on the basis of the first name ( eg. abc ) Entered of the user to be searched and on the click of the Search Button I have displayed the First_Name, Last_Name, & other Info also, & One Button Having the value as the "uid" for all the users having the First Name as ( abc ) in the Form inside a Table using a loop for loop. Now if there are 10 user having the First_name as abc then there are 10 Buttons which has been displayed Now I want that If I click on the Button corresponding to the 3rd User then his all the details which was displayed on the previous page will be passed in the different editable text fields.
The major problen which I am facing in this is that as I am generating all these buttons dynamically & all the buttons have same name but all the buttons have the diffrent values, I am able the generate Different names to all the buttons dynamicall & pass their reference dynamically to the Workflow in a transiction condition dynamically.if you want some default value in LOV. you go to edit list of value wizard-> UI hint->include no selection Item checkbox -checked.use labeled item first of list- and beside that put the label. but when you try to get value, it will show null.but you can manipulate in ur java , if it default value
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How to define ABC class field in the Customer Master Sales tab
HI All,
can any one let me know how to define the new ABC class in the Customer Master Sales tab like below.
u2013 A (> 6,000,000 )
u2013 B (> 1,000,000u20136,000,000 )
u2013 C (> 100,000u20132,000,000 )
u2013 D (< 100,000 )
can any one let me know how to define and path in IMG.
Thanks in advance.
kumar reddy.In my opinion, you don't have any such std table/view to update ABC Classification field. You might need to update relevant infostructure based on your requirement, such as sales, invoiced, etc..
Try with following, based on your requirement:
MC(A
SIS: Customer,Inc.Orders - Selection
MC+A
SIS: Customer Returns, Selection
MC+E
SIS: Customer, Sales - Selection
MC+I
SIS: Customer Credit Memos - Selec.
Regards
JP
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The connect button does not respond when i try to set up sync
I upgraded the 4.0 version of firefox yesterday to 4.2 and all of my settings were reset to defaults. When i tried to setup sync it asked me to create a software password. I did this and then clicked on the connect button. It then prompted me for pas
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I need to remove a duplicate records, due to certain circumstances, I can not apply Distinct in the SQL statement, noticed that Group by can used to eliminate duplicate rows from a result set. My questions : is the GROUP BY guaranteed to return every
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How to create own evaluation path
Hi Experts Can anyone of the HR experts let me know how to create own evaluation path to be used in Function Module 'RH_STRUC_GET'. Thanx, Rahul