Most optimized way to pick open items for customer
Dear experts,
I have a restriction that i can pass only companycode and documenttype in where clause of BSID select
SELECT BUKRS KUNNR VBELN BUDAT BELNR ZFBDT "--- zfbdt added on 15.12.2010
FROM BSID
INTO CORRESPONDING FIELDS OF TABLE IT_ADJUST
WHERE
BUKRS = P_BUKRS
AND BLART = 'RV'.
I cant change this query but going through response time,i need a more optimized way as an alternate to pick all open items of a customer given in a company code of RV doctype .Seeking your help dear experts.I found BAPI_AR_ACC_GETOPENITEMS but in this bapi i cant pass customer so can exploit it.
Regards.
Aditya Sharma.
Take a look at the current websites that offer information
about the sporting events you are interested in. Do any of them
offer RSS feeds? If so, you can roll your own RSS aggregator to
pull the information down from them to use in your application.
Keep in mind:
In some cases, someone had to compile this data from a number
of different souces, which may mean the websites may have
restrictions on how the data in their feeds can be used.
If you are dealing with just one sport at just one level
(collegiate, NBA, etc) you can go directly to the site of the
overseeing body of the sport to see if you can obtain the data you
want in electronic format.
Similar Messages
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Hi,
I have an issue where we want to apply a credit memo to a particular open item - meaning we want to set off a credit memo to a specific document number....sometimes partially sometimes in full and want to be able to do a check list kind of thing ....
Thereby reducing the line item and the Total open item by the credit memo amount rather than ONLY the total due for the customer...
Thank u very much
RukshanaHi Rukshana,
I still wonder if partial clearing is possible but you can always setup a clearing criterion in OB74 say as assignment number etc, and thru F.13 you can clear the invoice against the credit memo it will match the assignement number and clear. since the automated clearing happnes only as standard, it will not help you for partial clearing.
Hope this is helps you a bit though not in full.
Regards
Bharat -
Vendor Open Items for each Segment ?
Hi all,
What is the most effective way to grouped the all Vendor Open Items for each Segment ?
I think i should use tables BSIK and (BSEG or FAGLFLEXA).
Field BSEG-SEGMENT does not always have a value (often is empty), so it is likely to be used FAGLFLEXA-SEGMENT.
Thanks in advance
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Automatically clear the open items for a GL account cross company codes
Hi FICO experts,
Can anyone help me on the following issue urgently?
There are journal entries posted to same GL account with different company code. Is there any way to automatically clear the open items sitting in the GL account in company code A to against the open items for the same GL account in company code B.
The example is below:
Journal in company code A
Dr. 840410 $100
Cr. 111300 $100
Journal in company code B
Dr. 111301 $100
Cr. 840410 $100
Now I want to automatically clear account 840410 by using assignment or text in the journal entry.
It will be highly appreciated for any instructions.
AdeleHello Adele Wang,
You can enter cross-company code transactions in one step in the General Ledger, Accounts Receivable, and Accounts Payable application components. This function would be used, for example, for centralized procurement or payment.
Integration:For centralized payments, each individual company code enters its own invoices separately, while a central company code pays them. When you are clearing open items, the system makes clearing entries between the company codes participating in the clearing procedure. These clearing entries represent the receivables and payables that exist between the company codes in centralized payment.
Prerequisites:You have specified which company codes are to be processed via a single company code. In this specification, you can distinguish between clearing transactions. You can therefore have different combinations of company codes for incoming and outgoing payments.
You have specified the clearing accounts that record the receivables and payables between the individual company codes. The system posts to these accounts automatically when clearing the open items.
You need to make the required settings in the activity Prepare Cross-Company Code Manual Payments in Customizing for Financial Accounting (Accounts Receivable and Accounts Payable->Business Transactions->Outgoing Payments->Manual Outgoing Payments).
Features:For each company code, the system generates a separate clearing document. A joint transaction number marks these documents as belonging together.
Example:For a clearing transaction (incoming payment, outgoing payment), you have agreed in Customizing that if company code 0001 is specified, open items are also selected from other company codes (0002 and 0003).
Hope I had been able to help you. Please assign points.
Rgds
manish
Clearing can then also be carried out if the account to be cleared has not been created in company code 0001. As long as no items have to be posted to this account in company code 0001, it is not necessary to create a master record for the account in company code 0001.
See also: -
Interest calculation only for open item for customers
Hi, do you know how to calculate Interest calculation only for open item for customers?I do not want to see cleared items. I have problem with customization.
Best Regards
TomIn the item interest calculation, you can tick the 'open items' for calculation of interest and also select the 'no cleared items'.
Regards -
Switch on open items for ECC 6.0
Hi gurus: With reference to SAP OSSNote 175960 - RFSEPA02/03 not supported as of Release 4.5A.....
We have ECC6.0 here, with active new GL as well as document splitting. I want to switch on open items for an account that has postings in it.
I copied RFSEPA02 to ZFSEPA02 and changed coding per note 175960. I checked the program and it has table GLT0 referenced in the code. It was my understanding the GLT0 is not populated if you activate the new GL.
When I execute ZFSEPA02, it comes up with an error message "Line items do not match totals"....When debugging, it appears that SAP is looking at GLT0 to get a total balance. If it doesnt match with the line items SAP generates the same error message.
The note also says that "This note applies ONLY WITH RESTRICTIONS to Release ERP 2004 or ERP 2005 with activated New General Ledger and activated document splitting. In these releases, it is not currently possible to subsequently activate the open item management under the specified conditions. The only option currently available is to set up a new account with open item management and to use this instead of the original account. "
What do I do? I dont want to create a separate GL account..Should I change the code to refer to table FAGLFLEXT instead of GLT0?
thanks so much
BrianHi Andy,
Thanks for the reply.
Other than BSP screens what are the other substitutes.
Please share your ideas.
Regards,
Sairam. -
How to clear the open items and parked items for customer
Hi Experts,
I need to clear the open items and parked items for customer.
So any one could let me know the transaction code and procedure for clearing the items for customer.
Best regards,
Kesava balaji.Hello,
Parked items will have NO RELEVANCE, unless you post it.
You CANNOT clear parked items.
You can clear the posted items using F.13 or F-32
Regards,
Ravi -
Select open items for a settlement amount
Hi All,
I have a requirement to do a clearing with situation like this,
upload a excel file contains of settlement amount.
This amount will use to clear up the payment JV save earlier (open items)
for example: settlement 57.00
then the open item documents :
doc 1 > 7.00
doc 2 >20.00
doc 3 >50.00
doc 4 >20.00
doc 5 >17.00
from example above, the settlement can clear with doc1+doc3
or doc2doc4doc5
My program is using the bdc call 'F-03' to do clearing.
how to program the logic if wan scenerio 1 or 2 based on any number of open items sum up is equal to settlement amt.
Any standard FM can use ?
Please help. << Priority removed >>
Thanks
Edited by: Rob Burbank on Sep 14, 2011 1:27 PMAnything that sounds as if to make your matter look more important than the others, especially texts like "urgent", "at the earliest", "ASAP", will be removed from the posts. Please avoid these in the first place.
Thomas
[Rules of engagement|http://wiki.sdn.sap.com/wiki/display/HOME/RulesofEngagement] -
How to see open items for vendor.
Hi,
What condition I should put to select values from Bseg to select open item amount for vendor.
Regards
MaveHi,
to select open items for vendor you should read from table BSIK.
After this you can read table BSEG with BSIK-BUKRS, BSIK-BELNR, BSIK-GJAHR.
( Bseg is a cluster table and selections for vendor are slower than bsik)
for example:
select * from bsik
where bukrs = company_code
and lifnr = vendor_no
select * from bseg
where bukrs = bsik-bukrs
and belnr = bsik-belnr
and gjahr = bsik-gjahr
Regards, Manuel -
Re:- How to see customer/vendor open items for profit center wise
any one help me regarding : How to see customer/vendor open items for profit center wise. That is possiable or not please suggest to me. I am using 4.6c version .
Run the report from Tcode FBL1N for vendor open item and from FBL5N fron Customer open items.
When you get the report, click on Change Layout icon ( or press Control + F8 from keyboard), search Profit Center fron the Table of Hidden fields on the right hand side. Move that field to the Left hand side table. Click ok, now you should be able to see the Profit Center column in your report.
You can save this layout by clicking on the Save Layout icon ( or press Control + F12 from keyboard)
Next time you can choose the saved layout by clicking on the Select Layout icon ( or press Control + F9 from keyboard)
Regards
Dharmveer -
How to clear the open item for non-leading ledger?
Hi, Experts,
I have two valuation area VA001 and VA004 and two accouting principle GAAP and IFRS.
Then I assign VA001 to GAAP (post to leading ledger) and VA004 assgin to IFRS (Post to non-leading ledger "IF").
There are two ledger group ,one is 0L and the other is IF.
When i run TBB1, system generate 2 FI documentes.
Then I run F13E to clear the GL account, because some GL is open item management.
But only ledger 0L is cleared, the other non-leading ledger "IF" is not cleared.
I don't know is there any possiblity that system will clear open item for leading ledger and non-leading ledger together?
TKS a lot.Hi Louise,
you do posting in TRM, but clearing is done in FI, so I moved the thread.
BR, Tomislav -
Open field for customer line item
Hi Guru
I have some problem about open field for customer line item post with posting key 09 and special GL , I open field at posting key 09 but the field still hidden . How I can open field for used . Thank youDear,
Use transaction FBL5N and select Special G/L Transactions only and execute.....here bring posting key and filter the posting with 09.
REgards,
Chintan Joshi -
Selection of open item for payment
Hi
I understand that in the automatic payment program, the selection of the open items for payment is partly determined by the "documents entered up to date" and the "Next payment" run date. Would like to confirm if the posting date specified will affect the open items selected.
I have a vendor with 3 open items - 2 invoices and 1 credit memo. The payment date for all 3 documents are 13.9.2007.
Only the 2 invoices were selected for payment when I specify
Posting date : 12.9.2007
Doc entered up till and next payment date : 14.9.2007
Only when we change the posting date to a later date was the credit memo selected as well. Why is this so?
Hope someone could advise me on this.
Thank you.Hi
Thanks for responding.
Baseline date Payment terms
Invoice 14.08.2007 14 days
Credit memo 13.09.2007 -
Regards. -
Get Open Items for GL Reconciliation account for Customers
Hi All
We have a difference on our AR to GL reconciliation, we are unable to view all postings to the GL account using Tcodes FBL3N or FS10N ? - the function is not available on that GL account.
how do we compare the open items on customer accounts to the postings in the GL reconciliation account if we can not get a line item report ?
Thanks in advance for any assistance
DylanHi,
Generally for recon accounts, the indicator Lina item display will set to off. So you will not get line items for your recon account in FBL3N report. But still you can get the GL balances in FS10N for that recon accounts.
If you want to see the line items also for that recon account, then go to master data of that GL and select Line item display option and block the account in company code for postings temporarly.
Now run report RFSEPA01 in SE38 for you recon GL account.
Again go to GL master and unblock the blocking indicator.
Now check the line items in FBL3N for that recon account.
Thanks,
Srinu -
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
Spandanahi..
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
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