ICR process for Open item recon.(003)

Hi All,
I facing the problem "Although the field ATYPE contains the value V for vendor documents all uploaded data records in table FBICRC003A are posted with the vendor account in the field RCUST " this is one of the symptom in the note 1154899,but even after applying this note 1154899 the issue is not resolved.So in my legacy file am having both vendor and customer in the same file for the legacy company code L001.
I am referring to the structure FBICRC_S_UPLOAD provided by SAP for uploading the data.Please find below is the data format.
RCOMP   RASSC     DOCNR          ATYPE     RACCT     RTCUR     TSL
L001     U001     1700036235     C     CCU001     USD     400
L001     U001     1800000795     V     CCU001     USD     300-
Because of this issue, my Vendor record is getting displayed in the U001->L001->Payables area along with the customer record.So this seems to be incorrect, bcoz of the above mentioned problem.
I also debugged the standard class 'CL_FBICRC_SERVICES' and the method 'UPLOAD_DATA'
where the below mentioned lines are causing the problem of copying the vendor data into customer field.
  MOVE-CORRESPONDING  needs to be clear, but it is not happening in the standard code.
Please let me know the solution to this problem.
Thanks in advance.
Regards,
Karthik

Hello Karthik,
Please check and make sure that you also implement note 1270782. You may also simply do a note search with the terms ICR and UPLOAD_DATA to get all corrections for this data transfer method.
Best regards,
Ralph

Similar Messages

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    L001     U001     1212121212     C     CCU001     USD     200
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    Company code - L001, U001.
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    Company - L001, U001.
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    Rule - 300 config.
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    Rule - 400 config.
    200     DOCNR     Document Number     Equal     REFNR     Reference Number
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    U001 1700036236      USD       500       USD   500          TEST
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    second item (reconciled and expected in the report display)
    L001     U001     1212121212     C     CCU001     USD     200
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    Thanks in advance
    Regards,
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    Hi Ralph,
    Yes we are having two company codes.your understanding on this point is rite.
    I am using the standard file upload functionality from the presentation server for uploading the non-sap company data.since in the earlier thread i had explained very detail level, so now had made it short.
    The only issue that I am having is that I have just one line item in my upload file and it is from non sap company L001 for trading partner u001. File gets loaded (data selected 1 correctly), Then after all the steps when I am in the last step (reconciliation) I see that line getting reconciled with other line available in U001 with zero difference. That looks good because it is matching as per my rule. but I am also seeing some other open items in U001 that are also getting reconciled with no lines in file with difference equal to their values. They should not show up in the bottom part of reconciliation part at all as they are still open in U001 and should not get reconciled until I put their offsetting lines in upload file from L001. So they should stay at the top right side in simple words I am seeing open items as well in reconciliation portion bottom one even I do not have any lines to reconcile them and they are showing a balance in them as well.
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    Let me know, if you need any more details.
    Regards,
    Karthik

  • How to process Customer Open Items? If that Customer is also an Vendor.

    Hi All,
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    Hi Chandra,
    In addition to all the above, if the Customers and Vendors are in different company codes, then, you would have to also do the following configuration.
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  • Foreign curr reval for open items - questions - very urgent

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    0
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  • Field Selection for Open Item Clearing

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