OIM Custom reports - Un-Identified Accounts Report
HI,
I am working on *OIM custom reports . I was trying to get custom Un-Identified Accounts Report.
Is there an example for the query Unidentified Account Report?
I make query from oim10g is not working, especially table RCD, RCM.
What is table name in oim 11g that subtitute RCD & RCM table?
Thanks,
Sapril.
Hi
Refer the following link for enabling the reports:
http://docs.oracle.com/cd/E14571_01/doc.1111/e14308/system_props.htm#OMADM884
Searhc for 'Enable exception reports'
Sample query:
Note taht OIM OOTB reports already contains a report for Orphaned account. You can check that too.
SELECT * FROM recon_exceptions HERE usr_key IS NULL
you should modify this query and join tables to add more fields.
Regards
user12841694
Similar Messages
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Does OIM Provides Orphan Accounts report generation Out of the Box ???
Hi All ,
Does OIM Provides Orphan Accounts report generation Out of the Box ???Nopes, OIM Doesn't.
Custom Report
Re: How to generate a report on 'Event Received' events for a resource objects
http://download.oracle.com/docs/cd/B32386_01/generic.902/b32137/reporting.htm -
Custom report to identify items that are consigned to the customer directly
Custom report to identify items that are consigned to the customer directly
the above requirment related to which module and for this which tables i can use
pls give some details about this requirment.
thanxHello,
I believe you are on the wrong forum. Application Express is a web development tool, and from your questions you probably should look under the E-Business Suite forums (http://forums.oracle.com/forums/category.jspa?categoryID=3).
Regards,
Arie. -
Offsetting account in Vendor, Customer and GL line item report
Hi All,
There is one requirement from our client. They want offsetting account in Vendor, Customer and GL line item report.(FBL1n, FBL3n and FBL5n).
As this field is there in selection screen in lay out setting but field coming as blank no off setting account is coming. It was coming in old SAP 4.7 system but same is not coming in ECC6.0.
Kindly let me know if any development is requirement, if yes than which tables we have refer for the same.
Thanks and Regards,
Abhinav SharmaHi Abhinav,
There is a SAP not and you can refer to that - SAP OSS note 112312
T.Code: FIBF
After entering in above T.code
Follow Path
Settings Products of a customer
Product : XXXX
Text : XXXX
Active : Tick it
Click on Back i.e. F3
Follow Path
Settings >P/S Function Modules > of a customer
Event: 00001650
Product: XXXX
Function Module: LINE_ITEMS_GET_GKONT
Now Go to FBL3N display of any account
After opening the account display click on Change Layout i.e. CTRL+ F8
And Select
Offsetting A/C Type & Offsetting A/C no.
Regards,
SAPFICO
Edited by: SAPFICO on Dec 1, 2010 8:26 AM -
List of customer report based on account group - T.Code
Dear Guru's
I need list of customer report based on account group in standard SAP if it there please update th T.Code as earl as possible.
regards,
bhanuHello,
I don't think there is a standard report for this. SE16 select table KNA1 and check for the entries with respect to account group.
Prase -
OIM Custom reports - User Resource Access History
HI,
I am working on OIM custom reports . I was trying to get custom user resource access history( i.e., need to include information like field changed, its old value , its new value etc are the extra info I need in the report ). To achieve this I had used UPA_UD_FORMS and UPA_UD_FORMFIELDS. I have few questions in this process..
1. The audit result does not include the about the initial access info of the user which he obtained during usr creation, the table are containing only the changes occured after the user creation. Am I missing something please suggest.
2. And update_date and Effective_from date are not in sync .. any omments
Thanks,
Anumolu.I have been told that this historic data is stored in upa_ud_forms and upa_ud_formfields table.
However, these tables are empty in my OIM environment. Is there a necessity to enable that audit data is written? -
Adding a filed to Aging - 7 Buckets - By Account Report
Hi,
I have a requirement to add a filed to standard Adding a filed to Aging - 7 Buckets - By Account Report.
I am fetching the new filed value in a formulae column,This column value i want to add to the layout to dispay that values on the report.
Is there any trick to identify from which layout the output is being dispalyed on the output file.
I am running the report with parameters
1 Operating Unit
2 SOB name
3 Currency
4 Bucket Name
5 risk option "Age"
I am getting the
the output format is
Accouting Flexfield: 61.000.000.111100.0000.0000.0000
Customer# Customer Name Outstanding Amount
1-53YHQ1 XXXXCUSTOMER NAME 23,255.82
AANA-GYNWC YYYYYCUSTOMER NAME 206,072.97
Now i want to add one filed after Customer # .
Could anyone please give some suggestion from which group/layout the above output is coming.
If so i will try to add the field to that group and i will try to display the values.
Thanks,
Malla
Edited by: user4254752 on May 18, 2009 11:43 AM
Edited by: user4254752 on May 18, 2009 11:43 AM
Edited by: user4254752 on May 18, 2009 11:44 AMYou are going to have to do this as a custom report. This is not one of those report exchange reports where you can change the format of the report on the fly.
John Dickey -
Can using query create aging report for GL Account
Hi all expert,
I have a challenge scenario which customer request print out aging report for the following GL Account.
This is not a business partner account. However, customer want display like aging report.
30 days aging report for the following GL accounts by projects:-
i) WIP (Work In Progress) account
ii) Accrued Revenue account
iii) Accrued Cost account
Examples:
Current Balance 30 day 60 day 90 day 120 day
Account WIP 10000 2000 3000 5000 0
Any idea or example given? If yes, can you provide a query here?
Regards,
Eric TanHi Eric
In standard SAP Business One this is difficult as the reports are 2 dimensional. To achieve this you will need to write multiple select statements into a temporary table and then select the final result from the temp table. Here is a sample for you to test:
USE [*DATABASE_NAME*]
GO
/****** Object: StoredProcedure [dbo].[REPORT_NAME] Script Date: 04/24/2009 13:17:21 ******/
SET ANSI_NULLS ON
GO
SET QUOTED_IDENTIFIER ON
GO
CREATE proc [dbo].[*REPORT_NAME*]
as
set nocount on
begin
DECLARE @Day_no varchar(2)
DECLARE @Month_no varchar(2)
DECLARE @Year_no varchar(4)
DECLARE @Start_Date Datetime
SET @Day_no = DAY(GetDate())
SET @Month_no = MONTH(GetDate())
SET @Year_no = YEAR(GetDate())
SET @Start_Date = @Year_No + '/' + @Month_no + '/' + @Day_no -- + '/' + @Year_No
IF OBJECT_ID(N'tempdb..#CRDAGEING', N'U') IS NOT NULL
drop table #CRDAGEING
SELECT T0.[CardCode] AS [CardCode], T0.[CardName] AS [CardName], -T0.[Balance] AS [Balance], CAST(0 AS MONEY) AS [Current], CAST(0 AS MONEY) AS [1Week], CAST(0 AS MONEY) AS [2Weeks], CAST(0 AS MONEY) AS [3Weeks], CAST(0 AS MONEY) AS [4Weeks], CAST(0 AS MONEY) AS [5Weeks], CAST(0 AS MONEY) AS [6Weeks], CAST(0 AS MONEY) AS [Over6Weeks], CAST(0 AS MONEY) AS [Avg3Months], CAST (0 AS MONEY) AS [Onhand] INTO #CRDAGEING FROM OCRD T0 WHERE T0.[CardType] = 'S' -- and T0.[CardCode] <> '' --and T0.[DocDate] >= @FromDate AND T0.[DocDate] <= @ToDate
INSERT dbo.#CRDAGEING SELECT T1.[ShortName], NULL, 0, -SUM(T1.[BalDueDeb] - T1.[BalDueCred]), 0, 0, 0, 0, 0, 0, 0, 0, 0 FROM JDT1 T1, OCRD T2 WHERE T2.[CardType] = 'S' and T2.[CardCode] = T1.[ShortName] and T1.[DueDate] <= @Start_Date GROUP BY T1.[ShortName]
INSERT dbo.#CRDAGEING SELECT T1.[ShortName], NULL, 0, 0, -SUM(T1.[BalDueDeb] - T1.[BalDueCred]), 0, 0, 0, 0, 0, 0, 0, 0 FROM JDT1 T1, OCRD T2 WHERE T2.[CardType] = 'S' and T2.[CardCode] = T1.[ShortName] and T1.[DueDate] >= DATEADD(DAY,1,@Start_Date) and T1.[DueDate] <= DATEADD(DAY,8,@Start_Date) GROUP BY T1.[ShortName]
INSERT dbo.#CRDAGEING SELECT T1.[ShortName], NULL, 0, 0, 0, -SUM(T1.[BalDueDeb] - T1.[BalDueCred]), 0, 0, 0, 0, 0, 0, 0 FROM JDT1 T1, OCRD T2 WHERE T2.[CardType] = 'S' and T2.[CardCode] = T1.[ShortName] and T1.[DueDate] > DATEADD(DAY,8,@Start_Date) and T1.[DueDate] <= DATEADD(DAY,15,@Start_Date) GROUP BY T1.[ShortName]
INSERT dbo.#CRDAGEING SELECT T1.[ShortName], NULL, 0, 0, 0, 0, -SUM(T1.[BalDueDeb] - T1.[BalDueCred]), 0, 0, 0, 0, 0, 0 FROM JDT1 T1, OCRD T2 WHERE T2.[CardType] = 'S' and T2.[CardCode] = T1.[ShortName] and T1.[DueDate] > DATEADD(DAY,15,@Start_Date) and T1.[DueDate] <= DATEADD(DAY,22,@Start_Date) GROUP BY T1.[ShortName]
INSERT dbo.#CRDAGEING SELECT T1.[ShortName], NULL, 0, 0, 0, 0, 0, -SUM(T1.[BalDueDeb] - T1.[BalDueCred]), 0, 0, 0, 0, 0 FROM JDT1 T1, OCRD T2 WHERE T2.[CardType] = 'S' and T2.[CardCode] = T1.[ShortName] and T1.[DueDate] > DATEADD(DAY,22,@Start_Date) and T1.[DueDate] <= DATEADD(DAY,29,@Start_Date) GROUP BY T1.[ShortName]
INSERT dbo.#CRDAGEING SELECT T1.[ShortName], NULL, 0, 0, 0, 0, 0, 0, -SUM(T1.[BalDueDeb] - T1.[BalDueCred]), 0, 0, 0, 0 FROM JDT1 T1, OCRD T2 WHERE T2.[CardType] = 'S' and T2.[CardCode] = T1.[ShortName] and T1.[DueDate] > DATEADD(DAY,29,@Start_Date) and T1.[DueDate] <= DATEADD(DAY,36,@Start_Date) GROUP BY T1.[ShortName]
INSERT dbo.#CRDAGEING SELECT T1.[ShortName], NULL, 0, 0, 0, 0, 0, 0, 0, -SUM(T1.[BalDueDeb] - T1.[BalDueCred]), 0, 0, 0 FROM JDT1 T1, OCRD T2 WHERE T2.[CardType] = 'S' and T2.[CardCode] = T1.[ShortName] and T1.[DueDate] > DATEADD(DAY,36,@Start_Date) and T1.[DueDate] <= DATEADD(DAY,43,@Start_Date) GROUP BY T1.[ShortName]
INSERT dbo.#CRDAGEING SELECT T1.[ShortName], NULL, 0, 0, 0, 0, 0, 0, 0, 0, -SUM(T1.[BalDueDeb] - T1.[BalDueCred]), 0, 0 FROM JDT1 T1, OCRD T2 WHERE T2.[CardType] = 'S' and T2.[CardCode] = T1.[ShortName] and T1.[DueDate] > DATEADD(DAY,43,@Start_Date) GROUP BY T1.[ShortName]
SELECT SR.[CardCode], MAX(SR.[CardName]), SUM(SR.[Balance]) AS [BalanceOwing], SUM(SR.[Current]) AS [Current], SUM(SR.[1Week]) AS [1Week], SUM(SR.[2Weeks]) AS [2Weeks], SUM(SR.[3Weeks]) AS [3Weeks], SUM(SR.[4Weeks]) AS [4Weeks], SUM(SR.[5Weeks]) AS [5Weeks], SUM(SR.[6Weeks]) AS [6Weeks], SUM(SR.[Over6Weeks]) AS [Over6Weeks] FROM dbo.#CRDAGEING SR GROUP BY SR.[CardCode] ORDER BY SR.[CardCode]
END
Go to Microsoft SQL Studio manager and select your company database. Then expand the list and select Programmability > Stored Procedures. Right click on Stored Procedures and select New Stored Procedure. Copy the above code over the code in the edit window and change the database name as well as report name. Then select Execute to create the stored procedure. If you make changes, remember to change the word CREATE to ALTER (with other words CREATE for the first execute, and ALTER thereafter). Then in SAP Business One create a new query and leave everything blank. Click on execute and select the pencil to change to edit mode. Remove the words SELECT and type in EXEC REPORT_NAME (change the REPORT_NAME to the name you used in SQL). Then execute again and the results will be displayed in SAP Business One.
Let me know if you get stuck. Remember the above is an example and will need to be changed to use your tables and fields as required. The basic idea is to move across by one column with each select statement. So for example the first select statement does the CURRENT column, the second one the 30DAYS column, and so on.
Kind regards
Peter Juby -
Aging - 7 Buckets - By Account Report
Hi All,
I need sql script to get the same output of Oracle Standard Report 'Aging - 7 Buckets - By Account Report' as i am gone through the data model but the query is written in Dynamically and using Dual table.
Can anyone tell me how to write the sql script for this Oracle standard report.
Regards,
SushantHi,
Oracle Standard Report 'Aging - 7 Buckets Report' giving output of Customer Name and Customer Number with Outstanding Amount of aging between 7 bucket(0-30 days, 31-45 days, 46-60 days, 61-90 days, 91-120 days, 121-150 days, 151-99999 days)
As i an able to get the aging colum by below query.
select a.*, b.*
from AR_AGING_BUCKETS a,
AR_AGING_BUCKET_LINES b
where a.aging_bucket_id=b.AGING_BUCKET_ID
and a.AGING_BUCKET_ID=1003
but how to relate the customer name ,customer no (RA_CUSTOMER table) and outstanding amount with this aging bucket table.
so i need to develop a report customer wise aging 7 bucket and their outstanding amount.
Please give me idea how to proceed .
if you need more information please update the forums.
Regards,
Sushant
Edited by: user605933 on Jun 11, 2009 9:17 AM -
Country chart of account report
hi sap guru's
what is country chart of account . how to configured the country chart of accounts reports. could u pls anybody explain with the senario. explain the configured steps to country chart of accounts
regards
shivaHi,
you can set 2 COA for one company code. In SPRO Global Parameters for Company Code\ Enter Global Parameters you can set a Chart of Accts and a Country chart/accts. By using the Alternative account number, the connection between the account in the chart of accounts and the account in the country chart of accounts can be set up.
You set the link between these two COAs at GL account level populating the field "Alternative Account": you need to establish an alternative account of the country COA for the GL Accounts of the COA that you need to map.
There are several GL reports that can be shown by alternative accounts, mainly P&L, Balance Sheet...
Please follow these steps:
1- set Group Chart of Accounts as a COA of the company code. Find the customizing point in my post above.
2- set Country Chart of Account as a "country COA" at Company Code level. Same customizing point than before. You can use the standard that SAP provides (CAES in case of Spain for example or you can create a new one)
3- For each GL account you'll need to map at GL Account level in the field "Alternative Account" the corresponding country account.(trx FS00)
You need to now that users will work everyday in the group COA not in the country specific one, country COA is only for statutory reporting (P&G, Balance Sheet...). They will not have operating reports in country COA and operations will be only in group COA.
If you want to have all posting valuated not only un EUR but also in USD in case of USA, you will need to set several currencies at company code level also.
Regards -
Hi,
I have to build a debit credit wise GL account report. Can anyone help me to determine what all tables would be associated.
Regards,
G. ShankarHi Shankar,
General ledger accounts
SKA1 G/L accounts master (chart of accounts)
SKAS G/L account master (chart of accounts: key word list)
SKAT G/L account master record (chart of accounts: description)
SKB1 G/L account master (company code)
SKM1 Sample G/L accounts
SKMT Sample account names
BKPF Accounting document header
BSEG Accounting document segment
BSET Tax data document segment
BSEC One-time account data document segment
BSAD Accounting: Secondary index for customers (cleared items)
BSID Accounting: Secondary index for customers
BSIW Index table for customer bills of exchange used
BSIX Index table for customer bills of exchange used
BSAK Accounting: Secondary index for vendors (cleared items)
BSIK Accounting: Secondary index for vendors
BSIP Index for vendor validation of double documents
BSAS Accounting: Secondary index for G/L accounts (cleared items)
Thanks,
Nelson -
Hi all ! In my Gl Accounts Report, I want to add Cenvat, Frieght & Excise No. fields.
And I have P.O. no. & Document No.(Belnr) fields to use for this purpose.
Please suggest.I don't get it:
what report (custom or standard) ?
you'll find all infos in logical database SDF (about tax in table BSET)
A. -
Work Flow for Manually Disabling Account and Reporting on Disabling Account
Hi All
THis is my First Time To Create Work Flow for Idm Project Please Help me
i want Work Flow for Manually Disabling Account and Reporting on Disabling Accounts
Please Tell me How I will have to start, to create the code, I know how to configure but may be I will use BPEL or Through Netbeans and plugin I will use.
please provide me sample code, so that I can start workflow workThats configurable buddy ! ! And possible in 10G and 11G both versions.
Functional Roles : These are the groups/roles in OIM 10g/11g with access policies attached at the backend.
- Create a dummy resource and name it Request Role or anything as you like. Attach an Object Form to it and have form field for Role Name, this would be a lookup type field linked to all OIM groups (leave system values using lookup query). So a user can select any OIM Group in this request as per configuration. Have approval workflows defined on this dummy resource Request Role and in its Provisioning Process make user/s a part of the requested group.
- Now once the user is made a part of the group, the associated access policy would be invoked automatically and thereby provisioning. The only thing you need to keep in mind is that create the access policy without approval (there is a check box). If you do this the approvals would never be invoked even if you assign a group manually to the user coz it suppresses all the approvals in this access policy.
IT Roles : These would be linked to the resource and you can define individual approvals on the resources as required.These approvals would be required if someone raises a request for these resources individually.
Thanks
Sunny -
Report to display accounting documents
What is the report to display accounting documents
Moderator: Please, avoid asking basic questionsS_ALR_87012287 - Document Journal
S_ALR_87012289 - Compact Document Journal -
STandard Report for GL Account balances
Hi,
I am looking for a standard report for GL Account balances in the following :-
Opening Blanace Tranasactions during the month Closing Balance
Debit Credit
REgards,
RAJI am looking for LINE ITEM WISE REPORT for GL Accounts in the following format:-
Opening Balance
Transactions during the month (DR and Credit )
Closing Balance
REgards,
Raj
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