KR doc type posted without vendor line item a mandatory item category
Hello Gurus,
We have SPL document splitter activated in our ECC system. We have the business transaction variant 0300 / Z001 assigned to doc type KR. The vendor line is obligatory in the above business transaction variant (BTV). THe splitting rule is also assigned for this BTV.
THe problem is that despite having the vendor as obligatory for this BTV, we are able to post the doc type KR (vendor invoice) without the vendor line item e.g.. doc with doc type KR and debit and credit to expense a/c.
Please share your experience if anyone has come across this issue,
Prakash
Hi,
To make the vendor line mandatory for KR document type, you can write the validation as below:-
Step 1:-
Create a message ID via transaction code SE91 for message class /EACC/MSG/ACC_COMP as you want to display to user.
Step 2:-
Go to transaction GGB0 and create the validation step at complete document level in Financial Accounting as below:-
Pre Requisits:-
BKPF-BLART = 'KR'.
Check:-
Create a exit code using user exit and check that line items have at least one vendor line item.
For this take the help of ABAPer and create a copy of the program RGGBR000 and code your check here and assign to the application area GBLR in view V_T80D via transaction code SM30.
Message:-
Message created in step 1 as error message.
Step 3:-
Please also check that this validation has active status (Status=1) at line complete document level (level 3) for your company code in transaction OB28.
Regards,
Gaurav
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chaikaru wrote:
> Hi,
>
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WF_REMARKS ,
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belnr type BELNR_D ,
AWKEY type AWKEY .
data : date1 type sy-datum .
date1 = sy-datum+0(4) .
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xblnr = vbrk-kidno . "bill_no .
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CONCATENATE belnr AWKEY+10(4) date1 INTO TRAN_DOC .
ENDIF .
SELECT SINGLE WERKS FROM VBRP INTO PLANT WHERE VBELN = vbrk-kidno .
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reversal = p_reversal
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IMPORTING
obj_key = p_objkey
TABLES
return = p_return.
IF sy-subrc = 0.
---commit Work
CALL FUNCTION 'BAPI_TRANSACTION_COMMIT'
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wait = 'X'.
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*****Use the below statement, if the BAPI is sending back the 'RETURN' internal table.
READ TABLE p_return INTO WA_RETURN WITH KEY TYPE = 'F'.
IF SY-SUBRC EQ 0 .
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MSGID = WA_RETURN-ID
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MSGV1 = WA_RETURN-MESSAGE_V1
MSGV2 = WA_RETURN-MESSAGE_V2
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MSGV4 = WA_RETURN-MESSAGE_V4
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1 E RW 609 Error in document: BKPFF $ DEVCLNT300 000000 BKPFF $
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Multiple invoice line items posted as single line item in FI
Dear Gurus,
My client has a specific requirement.
We are required to maintain a rebate condition at item level. In the invoice the values of rebate conditons are appearing as per the line item. This rebate condition has been maintained as statistical and accrual key has been assigend to it. Respective configuration has been done in VKOA. Accural check box has been activated for the rebate condition type.
Now when we are posting the invoice to FI, client requires that instead of line item wise posting of accrual amount it should post entire accrual amount in the single line item. In other words it is like posting of header amount directly, without any line item wise splitting.
Please help me ASAP.
Thanks in advance.
Regards
Piyush RanpuraDear Friends,
I am thankful for your replies. But probably I was not able to put the issue is the proper manner. Let us consider this example -
Mat. codes - M1, M2, M3 & M4 Rebate cond. - ABCD Accrual key - ABC GL - 12345678
In the invoice, rebate values are determined as follows for the each line item -
For Line item 10, Material M1
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xx 1 xx
xx 2 xx
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xx 4 125 12345678
xx 5 100 12345678
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xx 7 xx
xx 8 xx
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xx 1 xx
xx 2 xx
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xx 4 xx
xx 5 xx
How it could be done?
Thanks & Regards
Piyush Ranpura
Edited by: Piyush Ranpura on Sep 1, 2010 9:10 AM
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