Importing BP opening balance  for AP&AR aging report

I use DTW import BP opening balance,
for example Maybe AR  posting date is 20080908 and 20090808 ,but I importing GL opening balance at the time of 20091231.
I wonder whether I shoud import posting date  of  AR templete and datatime of databaseserver is the same year.
Please advise.

Thank you for your reply. You understand correctly  What I exactly want to realize the situation.
But  in fact ,I have just  imported  the AR doc  which column of    docdate is 2010001 in his templete.
I cannot  import  AR doc of others year  . The DTW prompt error "no matching record odbc(...)"..
Maybe I need the set the posting period to currecnt  period .but I cannot find the setting In sbo 2007B
Please advise!

Similar Messages

  • Import GL opening balance,AR and AP aging with each open invoice data

    We tried to use Data Transfer Workbench to import GL opening balance back to 2007 year end but got an error "can not post to Control Account". 
    In Admin>Sys Init> Opening Balances> GL opening, Businesss Partner, 1099 opening balance can import all opening balance with AR, AP. But, can not import for each open invoice amount, invoice number, invoice date information. 
    If we entered those GL, AR, AP opening balance those won't affect the GL F/S, right?
    We will need to close year 2007 then import each period Trial Balance Debit and Credit amount for each account then close each period to have all 2008 each account period data until May 2009. 
    Would like to know which is the best way to do this?
    Edited by: Lily Chien on Jun 4, 2009 11:21 PM

    Hi,
    Please, use oInvoice and oPurchaseInvoice templates (as service type and offset account is opening balance account) to import opening balance. This don't affect to inventory, P/L account.
    Hope this helps,
    Son.

  • Regarding Import opening balance for GL  using DTW

    Can you give me a  template  example?
    and I should use which objects to Import  opening balance?
    Thank you

    Thank you for your prompt reply.
    I have imported the opening balance  to system successfully.
    using the DTW:
    In addtion I import the opening balance and other BP and stock balance ,I want to konw which column( for instance DueDate
    ReferenceDate or  anything else) to deciede to the journal entry in which posting period.
    Perhaps I could change the server datetime...
    Please advise ! thank you !

  • Regarding    opening Balances  for customer  as   on date

    hi
    Experts..
      hw  to caluclate the  opening balances for  customers as on date.
      wt is  the procedure &  please    give the  tables names  and send needed stuff.
    Thanks & Regards
    Spandana

    hi..
    Use the BAPI 'BAPI_AR_ACC_GETOPENITEMS'.
    it will give you opning bal for customer.
    example:
    DATA: GT_LINE TYPE TABLE OF BAPI3007_2,
          WA TYPE BAPI3007_2.
    CALL FUNCTION 'BAPI_AR_ACC_GETOPENITEMS'
          EXPORTING
            COMPANYCODE = bukrs
            CUSTOMER    = kunnr
            KEYDATE     = date
          IMPORTING
            RETURN      = lt_bapireturn1
          TABLES
            LINEITEMS   = gt_line.
    table gt_line  will have the details of the open items for the customer.
    regards,
    Padma

  • Importing BP opening balance

    Hello sir,
                           How to import opening balance of business partner and Chart of Account for go Live project
    no templates are available for opening balance  
    Plz suggest

    Hi,
    You may check these threads:
    Business Partner's Opening Balance Bill Wise
    regarding Import opening balance for GL  using DTW
    Re: BP open balances
    Re: Data migration tool for SAP Business One
    Opening Balance
    Thanks,
    Gordon

  • Importing GL Opening balances!

    Hi All,
    Is there a way to import Business Partner (BP) opening balances in SAP B1 from a text or an excel file?
    We have over 2000 customers as business partners, and do not want to go through the laborious process of typing them in SAP B1.
    Any add-on or any DTW template available??
    Thanks
    Junaid

    Hi,
    there are 3 ways to import opneing balance i.e.:
    1. Using G/L account opening balace funtionality in B1
    2. Using DTW addo (SBO standard addon)
    3. Using SDK code but it is not usual to use, I mean it is never used because no. 1 and 3 are fully complete.
    Here are the procedure for no.1 :
    In the SAP Business One main menu, choose Administration  ® System Initialization  ® Opening Balances  ®  G/L Opening Balances.
    The G/L Opening Balances u2013Selection Criteria window appears.
           2.      Set the required G/L account range, and then, choose OK.
    The G/L Opening Balance window appears.
           3.      If the fiscal year does not start on January 1st, change the Date to the required date. Enter offsetting G/L account in the windowu2019s header, and fill in the relevant details.
           4.      Enter opening balances in the local currency in column OB (LC) only if data is to be entered in the local currency.
    If the system currency is different from the local currency, the system automatically calculates the opening balances in the system currency and displays the values in column OB (SC).
           5.      Enter the opening balance in the foreign currency. If a foreign currency has been defined for an account, the OB (FC) field is also active. The system then automatically calculates the amounts in the local and system currencies, using the valid exchange rate on the value date. Overwrite the calculated values if necessary.
           6.      Enter the value without a plus sign if the balance is in credit. If the balance is in debit, insert a minus sign in front of the value.
           7.      Choose Add when all the opening balances have been updated.
    An opening balance for a multi currency account can be entered only in local currency
    Result
    SAP Business One creates the opening balance transactions for the accounts updated in the G/L Accounts Opening Balances window. The original type assigned to these transactions is OB.
    for no. 2, you can have the template from this folder where it is able to install in server PC or user PC:
    C:Program FilesSAPData Transfer WorkbenchTemplatesTemplates
    Purpose
    This section describes the required steps to import data from a legacy system into SAP Business One.
    Process Flow
    To perform the data migration from a legacy system to SAP Business One, you must perform the following tasks:
    ·        Preparing the source data
    ·        Importing the data into SAP Business One
    ·        Checking the results of the import
    Example
    The Data Transfer Workbench provides data file templates. You can use these templates to fill in your own data and to test the Data Transfer Workbench and to familiarize yourself with its functions.
    let me know if you need the template sample. I can send you but after 3 hours because I will have church service in one hour later.
    Rgds,

  • Opening balance for vendor in debit

    Hi
                                  When I post the opening balances for vendors it is showing the vendor balance as debit.(+) Is this correct or it should show vendor balance in credit and customer balance as debit ?
    Regards
    Sekar

    Hi,
                              This was the JE:
                                                                                    VENDOR                         1000 (Debit)
                                                              OP BAL(Asset)               1000(Credit)
    Remarks: BPartners  Opening Balance       
    Thanks and Regards,
    Sekar
    Edited by: S. Gamaliel Sekar on May 17, 2011 11:38 AM
    Edited by: S. Gamaliel Sekar on May 17, 2011 11:39 AM

  • 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.
    Please enlighten on how to carry out this.
    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

  • Problem in getting opening balance for multiple GL Account

    Hi,
    I am working on a  Trail Balance Report in which i am trying to fetch the data for the opening balance for multiple GL Accounts but it is not coming accurate.. Here is the link to the code which i am using currently right now:-
    http://docs.google.com/View?id=dfxswwff_13fgpdcbgt
    here i am showing the logic for the data of previous year only... i.e. data from begining to 1 day less of the date-low.

    Hi,
    It is a tranparent table which is getting data from the 2 other tables,the filling of this table is right. The execution of this query is right in the program but the problem comes when it is trying to calculate the opening balance for the respective GL Account present in the query it is not doing it. i.e. if there are 2 gl account ids having 3 rows of data each it is not calculating the of it in a single row.. i hope it is clear now...

  • 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)?
    Is there any function module available? or should I read from some tables? Please advice.

    Hello Paul,
    You could try calling one of the following BAPIs - see which one meets your requirement. They are documented well so shouldn't be a problem finding out the correct one for your requirements.
    BAPI_GL_GETGLACCBALANCE      
    BAPI_GL_GETGLACCCURRENTBALANCE
    BAPI_GL_ACC_GETBALANCE      
    BAPI_GL_ACC_GETCURRENTBALANCE
    BAPI_GL_ACC_GETPERIODBALANCES
    BAPI_COND_VAL_DECRE_BALANCES
    You might have to put in some of your own logic after the BAPI call to get what you want.
    Hope this helps,
    Cheers,
    Sougata.
    p.s. Also look at FM FAGL_GET_ACCOUNT_BALANCE
    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,
    How to enter opening balance for last year to closing balance to this year opening balance explain deeply helpful for me Thanks in advance.
    Example
    All Bank A/C, Cash Book, Vendors, Customers, like that how to enter closing to opening balance.
    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 ..
    Get the opening bal for Customer 'K' in CCode 'C1' in 2008 ..
    First get all items from BSEG ..
    Select * from BSEG where KUNNR eq 'K'
                                     and BUKRS eq 'C1'
                                     and GJAHR eq '2008' .
    Sum all the DMBTR values (This is the total value).
    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
    WHERE T0.[DocStatus] ='O'
    AND
    (T0.[DocDate] >='[%0]' AND T0.[DocDate] <='[%1]')
    Regards:
    Balaji.S

  • 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.
    He has prepared open balance for all accounts and i should migrate these balances in the system.
    This balance sheet prepared from the customer is balanced so debits equals to credits.
    The currency of this company is ALL, and in this document there are few accounts that are in EUR and USD, but in total the converted amounts of these accounts(accounts that has balance in foreign currency) together with other accounts in ALL are balanced.
    Now i have to enter in the GL module three different journals, one in ALL, one in EUR and the last one in USD, with the exchange rates given by the customer.
    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

  • 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
                                            transdate
    BankTable (records):
    SCB
    BankTrans(records):
    a) SCB, 15000, 10-02-2013
    b) SCB, 20000, 31-01-2014
    c) SCB, 50000, 21-09-2012
    If I select date as 31-01-2014, I should get the value as 65000 
    If I select date as 10-02-2013, I should get the value as 50000
    Date will be dynamic selection from years months days hirearchy ( time dimension)
    How can i achieve this?  
    any help is much appreciated.
    Thanks,
    Rakesh

    Dear David,
    I've tried the below with static date but i'm not getting the values which are sum of less than the given date.
    I've given 1st jan 2013 as static date and I need to get the sum of values which are less than the 1st jan date.
    CREATE
    MEMBER
    CURRENTCUBE.[Measures].[OPENBALANCE]
    AS
    Sum({Null:[Time].[Years
    Quarters Months Weeks Days].[Days].&[2013-01-01T00:00:00]},[Measures].[AmountCur]]),
    FORMAT_STRING
    = "Standard",
    VISIBLE
    = 1
    can you plz check the above once and guide me.
    Thankyou,
    Rakesh

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