LSMW for GL account Master data
Hi all,
I have to create one lsmw tool in GL ACCOUNT master data.
Please suggest me which method i should adopt.
direct input, BAPI , Recording OR IDOC.
IF bapi or recording, please tell me BAPI or transaction for GL account master data.
Reagrds,
Ruchika
Hi Ruchika,
BAPI_ACC_GL_POSTING_POST caters to your requirement.
Regards,
Younus
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Lsmw for G/L master data (RFBISA00)
Hello,
I have goen through all the steps of the lsmw "wizzard".
When I lauch the batch input however, I get the error message
Session 1 : Special character for 'empty field' is /
Trans. 1 : Transaction FS01 is not supported
... Last header record ...
... BSK00-STYPE 1
... BSK00-TCODE FS00
... BSK00-SAKNR 10000000
... BSK00-BUKRS LONA
... BSK00-REF_SAKNR /
... BSK00-REF_BUKRS /
....Editing was terminated
It is, as if it places a / in empty fields where it should be blank.
Thanks for any help,
AlainHello Prince,
thank you for the answer.
I am afraid the issue is not about compulsory field but rather that it takes value / for blank fields.
Maybe I have to specify value blank in field BGR00-NODATA, but i do not know how to do it.
Indeed, in RFBISA00 program documentation, you can read:
"<i>For each field which is transferred in batch input structure, you must decide whether the value of the field is initial (for example, the field should be reset to the initial value) or whether no batch input at all is necessary for this field.
That means, a special character must be specified which has the function: "No batch input for this field".
This special character is the character "/" by default.
If the special character "/" is not to be used, you can specify another special character in the session prefix in field BGR00-NODATA which will carry out this function.
You "initialize" a batch input structure (with the exception of the session prefix BGR00) by filling out the record type and (if applicable) table name fields with the correct values, and the other fields in the structure with the special character NODATA."</i>
Any support is welcome,
Thanks,
Alain -
Is there a SAP standard way of dl/up G/L accounts master data?
I was asked to create a download program to get the G/L account master data from one server and create an upload program to automatically create the G/L accounts.
Download: Access SKAT, SKA1, SKB1 -> save to spreadsheet
Upload: Batch input or maybe read up on how to do it using LSMW.
Halfway in making my the program, it occured to me that maybe SAP has a standard way of doing this?
Tried to search for it. Found FS15/FS16.
Would these do it? How do they work?
*Both source and target systems are running SAP 4.7<b>NO!</b> fs15-16 is for two servers
1)fill field filename in fs15
example '<b>0001</b>'
2) transfer file per ftp
from /sapmnt/XXX/global/FBIS<b>0001</b>
to oth. server same directory and filename
with XXX = sy-sysid
3)and use the same file in fs16 <b>0001</b>
Message was edited by: Andreas Mann
Message was edited by: Andreas Mann -
GL account master data download
Hi Experts,
I want to download the GL account master data from Quality(testing) system and i want to upload the same into Development system via LSMW as the number of GL account master data is more. Can anybody tell me how can i download the gl account master data? so that my uploading work will be easy.
Thanks in advanceHi,
Go to path : Accounting -->Financial Accounting -->General Ledger -->Master Records -->G/L Accounts -->Collective Processing -->OB_GLACC11 - Chart of Accounts Data / OB_GLACC12 - Company Code Data / OB_GLACC13 - Descriptions click on OB_GLACC11 or OB_GLACC12
And enter give company code and Execute (F8) click on Select all records click on Print button and click on List > Save / send>File an select Spreadsheet and enter and save the excel sheet and upload through LSMW
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Raviteja -
PR- PO Account Type- Account Master Data Mismatch
Dear all,
I came across a serious problem for us in SAP. Briefly, I opened a PR or PO which has account category type K- Cost center. In addition to this, I used an account which had been defined as internal order obligatory in account master data . As a result , system did not issue any messages for this mismatch. I want to have standart messages like goods movements which are issued by system. Is there any configuration to solve this problem?
Regards...OSS answer for my question:
"Dear Development Team,
I noticed in MIRO that the PO 4500424855 contains the GL acc. 760015007.If you check the customising for this account you will find that the
field CO/PP Order has been defined as a required field. Since an order
has not been entered in the PO, the MIRO is looking for it.
In older versions a validation check was made at the time of PO
creation to stop users creating PO's that could not be received/invoicedhowever this functionality has changed.
In Releases lower than 40A, during the creation of the Purchase Order
a check was carried out, comparing the field selection of the G/L
account with the field selection of the account assignment category.
Such a check is no longer carried out as of Release 40A.
When the two tables T162K and T004F are evaluated, the actual contents
of the fields are not evaluated.
If you want to get an internal order at the time of MIRO you may
consider to use FI substitution(Tr-code OBBH) to determine the
internal order for the G/L account (please see note 42615).
Or you can check the transaction OKB9.
To create an own check at the time of creation the PO or PR
you may consider the BADIs ME_PROCESS_PO_CUST or ME_PROCESS_REQ_CUST.
Using the BADIs you can make your onw checks and create error messages.
I apologise that I cannot provide a better answer to this problem but
it seems as though the system is behaving as designed." -
User-Exit or Badi for dangerous goods - master data
Is there any user-exit or BADI we can use while changing or saving dangerous goods?
We want to do a copy on other dangerous goods immediately after the change or creation of the dangerous goods master data.
But I can't find an user-exit which can be used before the changes are saved.
Can anybody help?
Thanks!Hi,
Please check SAP enhancement DG100001
You can use this SAP enhancement to define a customer exit to write change documents for dangerous goods master data and packaging data.
The customer exit is in the function group XD10. It is called from the function DG10_CHANGE_DOC_USER_EXIT.
If the system does not find a customer exit, a standard document description is called. This is stored in the include LDG1NU03
Hope this will solve your problem
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Keshav -
Dual Control for Vendor/Customer Master Data
We can set Dual Control for Vendor/Customer Master Data. I have set it. According to the cycle, I have customized sensitive field, and make changes in Vendor/Customer A/c. Here the changes will be confirmed by other user who is authorised to confirm the changes. In this scenario, I would like to know, can we avoid this confirmation once we have actived? If, no than how could we confirm the changes and where can we set authorisation?
Dear,
No, You cannot avoid the dual check if You activate it. Another user by FK08 has to confirm the changes.
Then You can delete the field for the dual control into the table T055F and no check will be done in the future.
I hope this helps.
Mauri -
Audit trails for ammendments to master data
Hi dear all SAPians
My client ask : to recommend maintaining audit trails for ammendments to master data>
what is its meaning and what is its purpose >
your ans will be highly appreciable by heart and point>
M SwadhinHi,
You can find SAP audit toolbox via transaction SECR.
Audit logs may have following meaning:
The Security Audit Log is a tool designed for auditors who need to take a detailed look at what occurs in the SAP System. By activating the audit log, you keep a record of those activities you consider relevant for auditing. You can then access this information for evaluation in the form of an audit analysis report.
The audit log's main objective is to record:
u2022 Security-related changes to the SAP System environment (for example, changes to user master records)
u2022 Information that provides a higher level of transparency (for example, successful and unsuccessful logon attempts)
u2022 Information that enables the reconstruction of a series of events (for example, successful or unsuccessful transaction starts)
Specifically, you can record the following information in the Security Audit Log:
u2022 Successful and unsuccessful dialog logon attempts
u2022 Successful and unsuccessful RFC logon attempts
u2022 RFC calls to function modules
u2022 Successful and unsuccessful transaction starts
u2022 Successful and unsuccessful report starts
u2022 Changes to user master records
u2022 Changes to the audit configuration
You can find more details here: http://help.sap.com/printdocu/core/Print46c/en/data/pdf/BCCSTADM/BCCSTSAL.pdf
Cheers -
BTE's used for project systems master data.
Hi ,
Can anyone tell me what are the BTE's used for project systems master data.
Tcode used are CJ01, Cj02, CJ20N, CJ12, CNMASS
When master data is changed or created BTE should trigger.
Regards
SubinI don't think there are any open_fi BTE available for PS master data.
you can use classic subs/vals using GGB0 and GGB1 transaction codes. -
Lsmw for uploading GL Accounts Master data
Hi SAP Gurus
I am Uploading GL Accts Master data using LSMW in the following procedure:
1) Upload GL Accounts only, COA Level - B/S : FSP0
2) Upload GL Accounts only, COA Level - P&L : FSP0
Successfull in above 2.
How should I;
Upload GL Accounts on Company Code Level: FSS0
- While recording, should I include the GL Account No. field.
I tried it but the cc segment is not updated for GL accounts already created in FSP0.
Please help.
Points Guaranteed.
Regards
Jamil[Legacy System Migration Workbench]
LSMW Version Number : 4.0.0
LSMW Version Date : 31.08.2004
R/3 Installation Number : 0020263291
R/3 System Id : PRO
R/3 Release : 700
R/3 Client : 300
R/3 Operating System : HP-UX
R/3 Database System : ORACLE
R/3 Hostname : sapukpn1
User Id : ATKACHENKO
Date : 25.12.2008
Time : 16:45:09
Local Date : 25.12.2008
Local Time : 16:45:09
Local Timezone : EET
[Project Information]
[Project Name ] : Z_MOE
[Project Text ] : Z_MOE
/SAPDMC/LSGPRO Z_MOE ATKACHENKO 20070620
/SAPDMC/LSGPROT 8Z_MOE Z_MOE
[Recordings]
[Recording ] : ACCOUNTS
[Recording Text ] : Accouunt_CREAT
/SAPDMC/LSGBDC Z_MOE ACCOUNTS 0001 0000TFS00 0000000000 000000000000000000
/SAPDMC/LSGBDC Z_MOE ACCOUNTS 0002SAPLGL_ACCOUNT_MASTER_MAINTAIN 2001X 0000000000 000000000000000000
/SAPDMC/LSGBDC Z_MOE ACCOUNTS 0003 0000 BDC_OKCODE =ACC_CRE 0000000000 000000000000000000
/SAPDMC/LSGBDC Z_MOE ACCOUNTS 0004 0000 BDC_SUBSCR SAPLGL_ACCOUNT_MASTER_MAINTAIN 2011HEADER 0000000000 000000000000000000
/SAPDMC/LSGBDC Z_MOE ACCOUNTS 0005 0000 BDC_CURSOR GLACCOUNT_SCREEN_KEY-SAKNR 0000000000 000000000000000000
/SAPDMC/LSGBDC Z_MOE ACCOUNTS 0006 0000 GLACCOUNT_SCREEN_KEY-SAKNR / SAKNR account SAKNR SAKNR GLACCOUNT_SCREEN_KEY SAKNR 0000000000 000010000020000010CHARC
/SAPDMC/LSGBDC Z_MOE ACCOUNTS 0007 0000 GLACCOUNT_SCREEN_KEY-BUKRS 9999 BUKRS BUKRS GLACCOUNT_SCREEN_KEY BUKRS 0000000000 000004000008000004CHARC
/SAPDMC/LSGBDC Z_MOE ACCOUNTS 0008 0000 BDC_SUBSCR SAPLATAB 0100TABSTRIP 0000000000 000000000000000000
/SAPDMC/LSGBDC Z_MOE ACCOUNTS 0009 0000 BDC_SUBSCR SAPLATAB 0200SUBSC 0000000000 000000000000000000
/SAPDMC/LSGBDC Z_MOE ACCOUNTS 0010 0000 BDC_SUBSCR SAPLGL_ACCOUNT_MASTER_MAINTAIN 2102AREA1 0000000000 000000000000000000
/SAPDMC/LSGBDC Z_MOE ACCOUNTS 0011 0000 BDC_SUBSCR SAPLGL_ACCOUNT_MASTER_MAINTAIN 2101AREA2 0000000000 000000000000000000
/SAPDMC/LSGBDC Z_MOE ACCOUNTS 0012 0000 BDC_SUBSCR SAPLGL_ACCOUNT_MASTER_MAINTAIN 2103AREA3 0000000000 000000000000000000
/SAPDMC/LSGBDC Z_MOE ACCOUNTS 0013 0000 BDC_SUBSCR SAPLATAB 0300AREA4 0000000000 000000000000000000
/SAPDMC/LSGBDC Z_MOE ACCOUNTS 0014 0000 BDC_SUBSCR SAPLATAB 0300AREA5 0000000000 000000000000000000
/SAPDMC/LSGBDC Z_MOE ACCOUNTS 0015 0000 BDC_SUBSCR SAPLATAB 0300AREA6 0000000000 000000000000000000
/SAPDMC/LSGBDC Z_MOE ACCOUNTS 0016 0000 BDC_SUBSCR SAPLATAB 0300AREA7 0000000000 000000000000000000
/SAPDMC/LSGBDC Z_MOE ACCOUNTS 0017SAPLGL_ACCOUNT_MASTER_MAINTAIN 2001X 0000000000 000000000000000000
/SAPDMC/LSGBDC Z_MOE ACCOUNTS 0018 0000 BDC_OKCODE =TAB02 0000000000 000000000000000000
/SAPDMC/LSGBDC Z_MOE ACCOUNTS 0019 0000 BDC_SUBSCR SAPLGL_ACCOUNT_MASTER_MAINTAIN 2011HEADER 0000000000 000000000000000000
/SAPDMC/LSGBDC Z_MOE ACCOUNTS 0020 0000 BDC_SUBSCR SAPLATAB 0100TABSTRIP 0000000000 000000000000000000
/SAPDMC/LSGBDC Z_MOE ACCOUNTS 0021 0000 BDC_SUBSCR SAPLATAB 0200SUBSC 0000000000 000000000000000000
/SAPDMC/LSGBDC Z_MOE ACCOUNTS 0022 0000 BDC_SUBSCR SAPLGL_ACCOUNT_MASTER_MAINTAIN 2102AREA1 0000000000 000000000000000000
/SAPDMC/LSGBDC Z_MOE ACCOUNTS 0023 0000 GLACCOUNT_SCREEN_COA-KTOKS UFRO KTOKS KTOKS GLACCOUNT_SCREEN_COA KTOKS 0000000000T077S 000004000008000004CHARC
/SAPDMC/LSGBDC Z_MOE ACCOUNTS 0024 0000 GLACCOUNT_SCREEN_COA-XBILK X XFELD XBILK GLACCOUNT_SCREEN_COA XBILK 0000000000 000001000002000001CHARC
/SAPDMC/LSGBDC Z_MOE ACCOUNTS 0025 0000 BDC_SUBSCR SAPLGL_ACCOUNT_MASTER_MAINTAIN 2101AREA2 0000000000 000000000000000000
/SAPDMC/LSGBDC Z_MOE ACCOUNTS 0026 0000 BDC_CURSOR GLACCOUNT_SCREEN_COA-TXT50_ML 0000000000 000000000000000000
/SAPDMC/LSGBDC Z_MOE ACCOUNTS 0027 0000 GLACCOUNT_SCREEN_COA-TXT20_ML / TXT20_ML TXT20_ML TEXT20 TXT20_SKAT GLACCOUNT_SCREEN_COA TXT20_ML 0000000000 000020000040000020CHARCX
/SAPDMC/LSGBDC Z_MOE ACCOUNTS 0028 0000 GLACCOUNT_SCREEN_COA-TXT50_ML / TXT50_ML TXT50_ML TEXT50 TXT50_SKAT GLACCOUNT_SCREEN_COA TXT50_ML 0000000000 000050000100000050CHARCX
/SAPDMC/LSGBDC Z_MOE ACCOUNTS 0029 0000 BDC_SUBSCR SAPLGL_ACCOUNT_MASTER_MAINTAIN 2103AREA3 0000000000 000000000000000000
/SAPDMC/LSGBDC Z_MOE ACCOUNTS 0030 0000 BDC_SUBSCR SAPLATAB 0300AREA4 0000000000 000000000000000000
/SAPDMC/LSGBDC Z_MOE ACCOUNTS 0031 0000 BDC_SUBSCR SAPLATAB 0300AREA5 0000000000 000000000000000000
/SAPDMC/LSGBDC Z_MOE ACCOUNTS 0032 0000 BDC_SUBSCR SAPLATAB 0300AREA6 0000000000 000000000000000000
/SAPDMC/LSGBDC Z_MOE ACCOUNTS 0033 0000 BDC_SUBSCR SAPLATAB 0300AREA7 0000000000 000000000000000000
/SAPDMC/LSGBDC Z_MOE ACCOUNTS 0034SAPLGL_ACCOUNT_MASTER_MAINTAIN 2001X 0000000000 000000000000000000
/SAPDMC/LSGBDC Z_MOE ACCOUNTS 0035 0000 BDC_OKCODE =TAB03 0000000000 000000000000000000
/SAPDMC/LSGBDC Z_MOE ACCOUNTS 0036 0000 BDC_SUBSCR SAPLGL_ACCOUNT_MASTER_MAINTAIN 2011HEADER 0000000000 000000000000000000
/SAPDMC/LSGBDC Z_MOE ACCOUNTS 0037 0000 BDC_SUBSCR SAPLATAB 0100TABSTRIP 0000000000 000000000000000000
/SAPDMC/LSGBDC Z_MOE ACCOUNTS 0038 0000 BDC_SUBSCR SAPLATAB 0200SUBSC 0000000000 000000000000000000
/SAPDMC/LSGBDC Z_MOE ACCOUNTS 0039 0000 BDC_SUBSCR SAPLGL_ACCOUNT_MASTER_MAINTAIN 2201AREA1 0000000000 000000000000000000
/SAPDMC/LSGBDC Z_MOE ACCOUNTS 0040 0000 GLACCOUNT_SCREEN_CCODE-WAERS UAH WAERS WAERS_SKB1 GLACCOUNT_SCREEN_CCODE WAERS 0000000000TCURC 000005000010000005CUKYC
/SAPDMC/LSGBDC Z_MOE ACCOUNTS 0041 0000 GLACCOUNT_SCREEN_CCODE-XMWNO X XFELD XMWNO GLACCOUNT_SCREEN_CCODE XMWNO 0000000000 000001000002000001CHARC
/SAPDMC/LSGBDC Z_MOE ACCOUNTS 0042 0000 BDC_SUBSCR SAPLGL_ACCOUNT_MASTER_MAINTAIN 2202AREA2 0000000000 000000000000000000
/SAPDMC/LSGBDC Z_MOE ACCOUNTS 0043 0000 BDC_CURSOR GLACCOUNT_SCREEN_CCODE-BEGRU 0000000000 000000000000000000
/SAPDMC/LSGBDC Z_MOE ACCOUNTS 0044 0000 GLACCOUNT_SCREEN_CCODE-XKRES X XFELD XKRES GLACCOUNT_SCREEN_CCODE XKRES 0000000000 000001000002000001CHARC
/SAPDMC/LSGBDC Z_MOE ACCOUNTS 0045 0000 GLACCOUNT_SCREEN_CCODE-ZUAWA 000 ZUAWA DZUAWA GLACCOUNT_SCREEN_CCODE ZUAWA 0000000000TZUN 000003000006000003CHARC
/SAPDMC/LSGBDC Z_MOE ACCOUNTS 0046 0000 GLACCOUNT_SCREEN_CCODE-BEGRU / BEGRU BEGRU BRGRU BRGRU GLACCOUNT_SCREEN_CCODE BEGRU 0000000000 000004000008000004CHARC
/SAPDMC/LSGBDC Z_MOE ACCOUNTS 0047 0000 BDC_SUBSCR SAPLGL_ACCOUNT_MASTER_MAINTAIN 2206AREA3 0000000000 000000000000000000
/SAPDMC/LSGBDC Z_MOE ACCOUNTS 0048 0000 BDC_SUBSCR SAPLATAB 0300AREA4 0000000000 000000000000000000
/SAPDMC/LSGBDC Z_MOE ACCOUNTS 0049 0000 BDC_SUBSCR SAPLATAB 0300AREA5 0000000000 000000000000000000
/SAPDMC/LSGBDC Z_MOE ACCOUNTS 0050 0000 BDC_SUBSCR SAPLATAB 0300AREA6 0000000000 000000000000000000
/SAPDMC/LSGBDC Z_MOE ACCOUNTS 0051 0000 BDC_SUBSCR SAPLATAB 0300AREA7 0000000000 000000000000000000
/SAPDMC/LSGBDC Z_MOE ACCOUNTS 0052SAPLGL_ACCOUNT_MASTER_MAINTAIN 2001X 0000000000 000000000000000000
/SAPDMC/LSGBDC Z_MOE ACCOUNTS 0053 0000 BDC_OKCODE =SAVE 0000000000 000000000000000000
/SAPDMC/LSGBDC Z_MOE ACCOUNTS 0054 0000 BDC_SUBSCR SAPLGL_ACCOUNT_MASTER_MAINTAIN 2011HEADER 0000000000 000000000000000000
/SAPDMC/LSGBDC Z_MOE ACCOUNTS 0055 0000 BDC_SUBSCR SAPLATAB 0100TABSTRIP 0000000000 000000000000000000
/SAPDMC/LSGBDC Z_MOE ACCOUNTS 0056 0000 BDC_SUBSCR SAPLATAB 0200SUBSC 0000000000 000000000000000000
/SAPDMC/LSGBDC Z_MOE ACCOUNTS 0057 0000 BDC_SUBSCR SAPLGL_ACCOUNT_MASTER_MAINTAIN 2203AREA1 0000000000 000000000000000000
/SAPDMC/LSGBDC Z_MOE ACCOUNTS 0058 0000 BDC_CURSOR GLACCOUNT_SCREEN_CCODE-FSTAG 0000000000 000000000000000000
/SAPDMC/LSGBDC Z_MOE ACCOUNTS 0059 0000 GLACCOUNT_SCREEN_CCODE-FSTAG G001 FSTAG FSTAG GLACCOUNT_SCREEN_CCODE FSTAG 0000000000T004F 000004000008000004CHARC
/SAPDMC/LSGBDC Z_MOE ACCOUNTS 0060 0000 BDC_SUBSCR SAPLGL_ACCOUNT_MASTER_MAINTAIN 2204AREA2 0000000000 000000000000000000
/SAPDMC/LSGBDC Z_MOE ACCOUNTS 0061 0000 BDC_SUBSCR SAPLGL_ACCOUNT_MASTER_MAINTAIN 2205AREA3 0000000000 000000000000000000
/SAPDMC/LSGBDC Z_MOE ACCOUNTS 0062 0000 BDC_SUBSCR SAPLATAB 0300AREA4 0000000000 000000000000000000
/SAPDMC/LSGBDC Z_MOE ACCOUNTS 0063 0000 BDC_SUBSCR SAPLATAB 0300AREA5 0000000000 000000000000000000
/SAPDMC/LSGBDC Z_MOE ACCOUNTS 0064 0000 BDC_SUBSCR SAPLATAB 0300AREA6 0000000000 000000000000000000
/SAPDMC/LSGBDC Z_MOE ACCOUNTS 0065 0000 BDC_SUBSCR SAPLATAB 0300AREA7 0000000000 000000000000000000
/SAPDMC/LSGBDCA Z_MOE ACCOUNTS FS00 ATKACHENKO ATKACHENKO 20070806
/SAPDMC/LSGBDCS Z_MOE ACCOUNTS 01
/SAPDMC/LSGBDCT 8Z_MOE ACCOUNTS Accouunt_CREAT
[Subproject Information]
[Subproject ] : Z_ADM
[Subproject Text ] : ADMinistration
/SAPDMC/LSGSUB Z_MOE Z_ADM ATKACHENKO 20081029
/SAPDMC/LSGSUBT 8Z_MOE Z_ADM ADMinistration
[Subproject Information]
[Subproject ] : Z_FM
[Subproject Text ] : Z_FM
/SAPDMC/LSGSUB Z_MOE Z_FM ATKACHENKO 20071030
/SAPDMC/LSGSUBT 8Z_MOE Z_FM Z_FM
[Subproject Information]
[Subproject ] : Z_LOC
[Subproject Text ] : Location
/SAPDMC/LSGSUB Z_MOE Z_LOC ATKACHENKO 20081030
/SAPDMC/LSGSUBT 8Z_MOE Z_LOC Location
[Subproject Information]
[Subproject ] : Z_MOE
[Subproject Text ] : Z_MOE
/SAPDMC/LSGSUB Z_MOE Z_MOE ATKACHENKO 20070620
/SAPDMC/LSGSUBT 8Z_MOE Z_MOE Z_MOE
[Object Information]
[Object ] : ACCOUUNT_CREAT
[Object Text ] : Accouunt_CREAT
/SAPDMC/LSOTXT 8Z_MOE Z_MOE ACCOUUNT_CREAT Accouunt_CREAT
/SAPDMC/LSOATT Z_MOE Z_MOE ACCOUUNT_CREAT 02 00000010ATKACHENKO X ATKACHENKO 20070803
/SAPDMC/LSOSTR Z_MOE Z_MOE ACCOUUNT_CREAT CRAC creation 000101 00000000000000000000
/SAPDMC/LSOFLD Z_MOE Z_MOE ACCOUUNT_CREAT CRAC BEGRU 0004C 004begru
/SAPDMC/LSOFLD Z_MOE Z_MOE ACCOUUNT_CREAT CRAC SAKNR 0001C 010account
/SAPDMC/LSOFLD Z_MOE Z_MOE ACCOUUNT_CREAT CRAC TXT20_ML 0002C 020text
/SAPDMC/LSOFLD Z_MOE Z_MOE ACCOUUNT_CREAT CRAC TXT50_ML 0003C 040textlong
/SAPDMC/LSOREL Z_MOE Z_MOE ACCOUUNT_CREAT 0001ACCOUNTS CRAC 00000000
/SAPDMC/LSOMAP Z_MOE Z_MOE ACCOUUNT_CREAT 0001ACCOUNTS BEGRU 0001CRAC BEGRU ATKACHENKO 20070806
/SAPDMC/LSOMAP Z_MOE Z_MOE ACCOUUNT_CREAT 0001ACCOUNTS SAKNR 0001CRAC SAKNR ATKACHENKO 20070806
/SAPDMC/LSOMAP Z_MOE Z_MOE ACCOUUNT_CREAT 0001ACCOUNTS TXT20_ML 0001CRAC TXT20_ML ATKACHENKO 20070806
/SAPDMC/LSOMAP Z_MOE Z_MOE ACCOUUNT_CREAT 0001ACCOUNTS TXT50_ML 0001CRAC TXT50_ML ATKACHENKO 20070806
/SAPDMC/LSORUL Z_MOE Z_MOE ACCOUUNT_CREAT 0000__END_OF_TRANSACTION__ DFATKACHENKO 20070806 00000000
/SAPDMC/LSORUL Z_MOE Z_MOE ACCOUUNT_CREAT 0001ACCOUNTS BEGRU MVATKACHENKO 20070806 00000000
/SAPDMC/LSORUL Z_MOE Z_MOE ACCOUUNT_CREAT 0001ACCOUNTS SAKNR MVATKACHENKO 20070806 00000000
/SAPDMC/LSORUL Z_MOE Z_MOE ACCOUUNT_CREAT 0001ACCOUNTS TABNAME DFATKACHENKO 20070806 00000000
/SAPDMC/LSORUL Z_MOE Z_MOE ACCOUUNT_CREAT 0001ACCOUNTS TCODE DFATKACHENKO 20070806 00000000
/SAPDMC/LSORUL Z_MOE Z_MOE ACCOUUNT_CREAT 0001ACCOUNTS TXT20_ML MVATKACHENKO 20070806 00000000
/SAPDMC/LSORUL Z_MOE Z_MOE ACCOUUNT_CREAT 0001ACCOUNTS TXT50_ML MVATKACHENKO 20070806 00000000
/SAPDMC/LSORUL Z_MOE Z_MOE ACCOUUNT_CREAT 0001ACCOUNTS __BEGIN_OF_RECORD__ DFATKACHENKO 20070806 00000000
/SAPDMC/LSORUL Z_MOE Z_MOE ACCOUUNT_CREAT 0001ACCOUNTS __END_OF_RECORD__ DFATKACHENKO 20070806 00000000
/SAPDMC/LSOCOD Z_MOE Z_MOE ACCOUUNT_CREAT 0000__END_OF_TRANSACTION__ 0001transfer_transaction. ATKACHENKO 20070806
/SAPDMC/LSOCOD Z_MOE Z_MOE ACCOUUNT_CREAT 0001ACCOUNTS BEGRU 0001ACCOUNTS-BEGRU = CRAC-BEGRU. ATKACHENKO 20070806
/SAPDMC/LSOCOD Z_MOE Z_MOE ACCOUUNT_CREAT 0001ACCOUNTS SAKNR 0001ACCOUNTS-SAKNR = CRAC-SAKNR. ATKACHENKO 20070806
/SAPDMC/LSOCOD Z_MOE Z_MOE ACCOUUNT_CREAT 0001ACCOUNTS TABNAME 0001ACCOUNTS-TABNAME = 'ACCOUNTS'. ATKACHENKO 20070806
/SAPDMC/LSOCOD Z_MOE Z_MOE ACCOUUNT_CREAT 0001ACCOUNTS TCODE 0001ACCOUNTS-TCODE = 'FS00'. ATKACHENKO 20070806
/SAPDMC/LSOCOD Z_MOE Z_MOE ACCOUUNT_CREAT 0001ACCOUNTS TXT20_ML 0001ACCOUNTS-TXT20_ML = CRAC-TXT20_ML. ATKACHENKO 20070806
/SAPDMC/LSOCOD Z_MOE Z_MOE ACCOUUNT_CREAT 0001ACCOUNTS TXT50_ML 0001ACCOUNTS-TXT50_ML = CRAC-TXT50_ML. ATKACHENKO 20070806
/SAPDMC/LSOCOD Z_MOE Z_MOE ACCOUUNT_CREAT 0001ACCOUNTS __BEGIN_OF_RECORD__ 0001ACCOUNTS = INIT_ACCOUNTS. ATKACHENKO 20070806
/SAPDMC/LSOCOD Z_MOE Z_MOE ACCOUUNT_CREAT 0001ACCOUNTS __END_OF_RECORD__ 0001transfer_record. ATKACHENKO 20070806
/SAPDMC/LSOFIL Z_MOE Z_MOE ACCOUUNT_CREAT Z_MOE_Z_MOE_ACCOUUNT_CREAT.lsmw.read Z_MOE_Z_MOE_ACCOUUNT_CREAT.lsmw.conv
/SAPDMC/LSOINP Z_MOE Z_MOE ACCOUUNT_CREAT 0001FEC:\Documents and Settings\alexey.tkachenko\Desktop\1.txt test 0000X 000000 X X X
/SAPDMC/LSOINS Z_MOE Z_MOE ACCOUUNT_CREAT CRAC 0001
/SAPDMC/LSOPAR Z_MOE Z_MOE ACCOUUNT_CREAT FROMLINE_CONV 0000000001
/SAPDMC/LSOPAR Z_MOE Z_MOE ACCOUUNT_CREAT FROMLINE_READ 0000000001
/SAPDMC/LSOPAR Z_MOE Z_MOE ACCOUUNT_CREAT TOLINE_CONV 0000000001
/SAPDMC/LSOPAR Z_MOE Z_MOE ACCOUUNT_CREAT TOLINE_READ 0000000002
/SAPDMC/LSOPAR Z_MOE Z_MOE ACCOUUNT_CREAT ATKACHENKO WILDCARDVALUE
/SAPDMC/LSOREC Z_MOE Z_MOE ACCOUUNT_CREAT 0001ACCOUNTS
[Documentation ] -
GL Account Master Data for all the inventory Accounts
Hi,
What is common & unique feature in the GL Master data of all the Inventory related accounts? Is it "POST AUTOMATICALLY" or some thing else
Thanks,
LavanyaIn addition to the 'post automatically' option, please also ensure the field status group selected is relating to 'material accounts'.
-
G/L account Master data question
Hi all,
Can I change an account master to a regular B/S account from a customer reconciliation account i.e., turn off the reconciliation indicator on the account if there is a balance/ activity on that reconciliation account? I tried to change that account to turn off the customer reconciliation indicator and I am getting the messages
FH 110 Modifications to reconciliation account not permitted
FH 511 The data contains error, you cannot save
The second one looks like implication of first one.
So, can anyone tell me if that is possible at all or is there an alternative to go about it. User is trying to pass JE to that reconciliation account to wipe out the balances in the account since the company is not productive anymore so, is there any alternative to go about this?
Your feedback is highly appreciated and rewarded with points
Thanks
KumarThe open item account in which you want to change the reconciliation account has been posted to.
By changing the reconciliation account in the open item master record the proportionate values from the items open at the time of change are not posted to the new reconciliation account.
Procedure
On the balance sheet key date the open items from the old reconciliation account are allocated to the new reconciliation account using adjustment accounts. This allocation is carried out automatically when you create a sorted list of receivables and payables using report SAPF101.
The postings necessary are only carried out for G/L accounts and are cancelled on the first day of the subsequent month (balance sheet adjustment posting).
Follow this :
Define adjustment accounts for Define Adjustment Accts for Changed Reconciliation Accounts.
This you do in SPR0Financial AccountingAR/AP---Business transactionsClosingRegroupDefine Adjustment Accts for Changed Reconciliation Accounts.
Here after entering your chart of accounts you have to enter the old recon a/c which is to be adjusted and the adjustment account(which we will have to create).
The same can be access via transaction OBBW.
After doing this using F101 (or SAPF101 via se38) I can get postings done from the old recon a/c to the new recon a/c.
Any receipts or payments on such old open items created will continue to affect the Old reconciliation account, even though the new reconciliation account is assigned to the Customer master. New Open Items will affect only the New Reconciliation account along with their subsequent transactions.
So we are not basically tranferring the receivable amount shown in the old recon account to the new one? But instead just putting them temporarily into the new recon a/c to reflect on the balance sheet? -
LSMW-Uploading G/l master Data
Hello,
we are migrating Data from R/3 4.6 to ECC 6.0.We need all the G/l from 4.6 exactly same way in ECC 6.0 without new G/l features.
Please let me which table I should use to extract g/l master data (SKA1or SKB1) from 4.6.I am going to do recording with Tcode FS00 at the time of uploading.
If any one is having document on G/l uploading please share with me.share the useful points relating to this.
Many Many Thanks
Moderator: Please, search SDNHi,
You will neet to extract data from both SKA1 and SKB1 and need to compile (via lookup etc.) to make a single file for uploding in LSMW.
Regards,
Gaurav -
Initial load of G/L account master data
Does anyone have any familiarity with any built-in tools SAP provides for bulk loading of master data? I have always been aware of LSMW but if there is any documentation out there around LSMW or other tools SAP may provide it would be much appreciated.
Moderator: Please, search before postingHi,
Many clients also use BDC Reports to upload master data. You can refer the below link for step-by-step process:
http://www.sdn.sap.com/irj/scn/go/portal/prtroot/docs/library/uuid/309cb157-738d-2910-7691-b74c4ddba3c7?quicklink=index&overridelayout=true
Regards,
Kiron Kumar T. -
Default values for creating vendor master data
Hi.
Is it possible to set default value for payment term and planning group when creating vendor master data of a specific account group?
Thanks in advance.HI,
1, Create a vendor in your Account group as the reference vendor account
2, By t-code:XK01, create new vendor with reference vendor of step 1,
then the system will transfer the value from your reference vendor.
Regards
Ravinagh Boni
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