Open Orders Data Sources & Cube
Hello Experts. I want to know if I can use business content data(2lis_11 /12/13 etc.) sources for cube 0SD_C03 for calculating open orders?
Also should I create a new cube or will I be able to get results from 0SD_C03?
For my open orders, I want to see:
1.sales orders or the deliveries, which are not billed
2.deliveries which are not goods issued
3.sales order which are confirmed, but not delivered
4. Or any other type of open order.
Thanks in advance.
Points will be rewarded for all helpful answers.
Hello Janet,
just check this link, this SAP's BI content. You'll find here lots of SAP provided ready to use queries, some of them based on sales overview cube.
http://help.sap.com/saphelp_nw2004s/helpdata/en/17/cd5e407aa4c44ce10000000a1550b0/frameset.htm
Sarhan.
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MarkIf you go to the XML administrator screen and lookup the definition of the XML page and what program it is associated to as a start. From memory, i believe that the Definition of the Print PO concurrent job is where the output is required in order for the PO to be printed in the XML format.
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Follow or contact me at...
  
This post is my own opinion and does not necessarily reflect the opinion or view of Microsoft, its employees, or other MVPs. -
Open Orders data in Sales Overview Cube
Hi All,
I am using Sales Overview cube to store all the Orders(inclucing Open orders), Deliveries and billing data. I am using seperate ODSs(for all the infosources) to store both the header and item level data for some reporting requirements.
But I am very confused how the cube gonna store the data of open orders i.e if we are loading data on monday and we got Order 100 as open order. But on tuesday the order was completley processed and it is no longer an open order. So what will happen when I load data on tuesday. How does the changes to Order 100 reflect in the cube?
Any help would be highly appreciated and rewarded!!!
Best Regards,
Nene.hi Nene
All orders where delivery qty is less than Order qty are open orders
All the orders which appear in the transaction V.15 in R/3 are Backorders
Execute the transaction after giving sales order, dist chan and division
All orders with document type RE are returns
Suggestion :
1. Create a restriction in ur queries with document types = OR,,,, other order types( Not RE..see last )and and Order qty < dly qty for open orders
2. You can extract data from V.15 into a BW customised table and check the entries to identify the backorders
Routine in update rule may help to distinguish backorders
3. You can use filter to identify the items returned from the customers
For document type = RE
Assign points if useful
Regards
N Ganesh -
Hi,
I have a specific requirement, where we want to add open orders from sales to the existing COPA cube and also we want Existing Open order/sales pipeline reports in SAP to be moved into BI.
Can any one help me on how to go about this and what should be the best apporoach to achieve this task.
Any help technically and functionally will be very helpful
Regards
VishwanathHi Viswanath,
You can evaluate Open orders using datasources 2LIS_11_V_ITM and 2LIS_11_V_SCL.
We extract COPA data by creating a datasource using trasaction KEB0. This datasource would be based on tables CE1**** to CE4****, where **** is the name of the operating concern. These tables get generated when the functional consultants create the operating concern in ECC. What data flows into these tables is controlled by the rules set by the functional folks. Unless the data that you need exists in these tables, you cannot get it otherwise using the datasource. You would need to check in the tables whether the data needed exists there. -
"Word was unable to open the data source" error message in mail merge
I am trying to do a mail merge in Word 2008 for Mac and receive this message when I try to open the Excel file for the data. Can someone please help? I tried changing the filename to .xls (originally .xlsx) but it didn't work.
As far as I know, you cannot merge from a .xlsx data source in Mac Word 2008, and even though there is a KnowledgeBase article at http://support.microsoft.com/kb/2604725 that suggests
that all you have to do is "rename" to a .xls, I think what you actually have to do is open the .xlsx in Excel and use Save As to create a .xls.
Generally speaking, you will be better off researching Mac Word questions in the relevant forum on Microsoft Answers, in this case here: http://answers.microsoft.com/en-us/mac/forum/macoffice2008-macword
This particular issue was discussed in this conversation: http://answers.microsoft.com/en-us/mac/forum/macoffice2008-macword/cant-open-excel-file-for-mail-merge/90ccfd11-273f-4c2a-aa37-1d859b8e41e2?page=1
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Peter Jamieson -
How to enhance open Item data source from R/3 ??
Hello All,
I am trying to enhance the business content extractor for open items in R/3 . The data source is 0FC_OP_01. i know this is coming from the table DFKKOP.
I need to add sub GL ffield rom another table from DFKKOPK .
Please advise the step by step to enhance the existing structure and add the new field to the extractor.
Points will be rewarded for any helpful answers.
thanks in advance,
AG..Hi,
please check out the forums, there are lot of threads about the issue 'how to enhance a datasource'. Just to give you a hint. Use transaction rsa6 in your source system for that. Here you can enhance the extract structure, the datasource and you can do the coding...
regards
Siggi -
Problem opening ODBC data source in Windows 2003
I am having difficulty opening a ODBC data source in SQL
Server 2000 running on Windows 2003 using ColdFusion MX7 (it works
cleanly on the same database on windows 2000 server). Anyone has
any ideas.Here it is, there is an issue with our Search functionality with the new SDN:
Symptom
When setting location on a Crystal Reports XI Report using the Progress OpenEdge ODBC Driver in Crystal Reports 2008 or Crystal Reports 2011 get “Some tables could not be replaced, as no match was found in the new data source. Please specify the table required for any unmodified tables.”
Environment
Crystal Reports 2008 or 2011
Progress OpenEdge ODBC Driver
Reproducing the Issue
Open a Crystal Report created in CR XI Report using the Progress OpenEdge ODBC Driver in Crystal Reports 2008 or 2011
Set location to a new ODBC Data Source
Get error "some tables could not be replaced, as no match was found in the new data source. Please specify the table required for any unmodified tables.”
Cause
Crystal Reports XI only creates aliases for tables with special characters or duplicate names.
Crystal Reports 2008 introduces a change which requires aliases for all tables.
Aliases are not created when doing a Set Location on the whole data source.
If a Customer has hundreds of reports they cannot set location of each table and fix the aliases.
Resolution
Upgrade to Crystal Reports 2011 Support Pack 02 or higher
Under registry key [HKEY_LOCAL_MACHINE\SOFTWARE\SAP BusinessObjects\Suite XI 4.0\Crystal Reports\Database\ODBC] create string UseTableNameAsAlias and set it to PGPRO1019.DLL, PGOE1022.DLL. Registry file is attached.
Keywords
Set Location
Progress ODBC
Crystal Reports 2008 2011 -
Open Orders not being picked up
Hi All,
I am implementing 2LIS_11_V_ITM to extract the open orders data into BW. I have implemented all the flow and trying to check the extraction using RSA3. I have deleted the setup tables using LBWG and filled them up using oLI7Bw. but when I run the RSA3 it is not returning any records. From which tables does the extractor picks the open orders data? How can I check if there are any open orders??
Thanks,
RPk.hey rajesh,
You have to fill the set-up tables before to check in RSA3.
Now you can use transaction OLIIBW to carry out a reconstruction for orders using different order categories or OLISBW to execute a reconstruction for service messages/requests (and to fill setup tables, where RSA3 takes data from).
Pls go thru the steps:
LO-EXTRACTION
T-Code: LBWE
First we need to check which data source suits the client's
requirements in LBWE.
Check whether it is in Active version/Modified version. If it is
in M version go to RSA5 and select our data source and press on
Transfer. Then go to RSA6 and see whether the datsource is been
transferred.
If the datasource is already in active version then we need to
check whether the datsource is already extracting data in to BW.
If the datasource is extracting the data then we need to check the
data existence in Setup tables (use SE11 to check the setup tables
data. For every extract structure one and only one setup table is
generated whose technical name is Extract structure name+ setup, for
eg. If extract structure name is MC11VAOHDR then set up tables name
is MC11VAOHDRSETUP) and Extraction Queue (LBWQ) and Update tables
(SM13) and Delta Queue (RSA7). If data exists in any of these T-
codes we need to decide whether we need the data in BW or not. If we
need the extract it as we do in LO-Extraction below. I f we don't
need delete the data.
The dataflow from R/3 into BW:
We nee to generate the extract structure by selecting the fields
from the communication structure in LBWE.
Generate the datasource and select the selection fields,
cancellation fields, hide fields that we want.
Replicate it into BW. Then we need to attach Info source(Transfer
rules/communication structure) to the datasource. We got 3 methods
to attach the infosource..
1) Business content:: Business content automatically proposes the
transfer rules and communication structure, we don't have to do
anything manually.
2) Application proposal: Here too proposal is done but some objects
will be missing which we need to assign in the transfer rules.
3) Others: here we need to create the transfer structure, rules,
comm. Strct from the scratch.
Modeling like infocube, Infosurce attachment, .
Then activate the extract structure.
We need to fill the setup tables for the first time loading. In
filling the setup tables we can select between Full load and delta
initialization loads.
Filling Set up table:
T Code : SBIW
Settings for Application-Specific DataSources (PI)->Logistics--
>Managing Extract Structures>Initialization>Filling in the Setup
Table -->Application-Specific Setup of Statistical Data --> in that
Youcan perform the Setup (Example : SD-Sales Orders - Perform Setup)
and execute .. or else direct T Code : OLIBW ( means based on your
application like sales order/billing/ purchase etc) For setup
tables T-Code is OLI*BW where * equals to application number like 02
fro purchasing,08 for shipment ..
First we need to decide whether we want delta loads to be
performed in the future. If we want to do delta loads, then we need
to go for Delta Initialization process or else do full load.
When we perform setup tables extraction, since setup tables are
cluster tables, we can't see the data in the setup tables. So we go
for Extractor checker (RSA3) just to see the setup tables data
(full/delta initialization).
Then create infopackage and select Full or Delta initialization in
Update tab and schedule it.
Delete the setup tables data by using LBWG.
Now we need to do delta loads.
Delta load data flow differs with various delta update methods. We
got 3 delta update methods as u know.
If we select "Queued Delta"update method then the data moves to
Extraction queue(LBWQ). Then run Collective update to move the data
from LBWQ into Delta Queue (RSA7). Then schedule the data using the
infopackage by selecting Delta Load in the update tab.
If we select "Direct delta" then the delta data moves into RSA7
directly.
If we select "Unserialized V3" method then the data goes
into "Update tables(SM13)", then run Collective update to move the
data from SM13 into RSA7. Schedule the data using infopackage.
If we click on Maintenance, we can generate the extract structure.
If we click on 2LIS_02_CGR button, then we we can generate data
source
Inactive under Update column: we can make a extract structure as
active or inactive.
If we click on Job control button the we can maintain the
collective update parameters like, start time, and is it hourly once
or dialy once
If we click on Queued delta button under Update mode then we can
select among 3 delta update methods.
Only Full/Delta initialization data loads only moves into setup
tables. Delta load data doesn't move into setup tables.
**RSA3 contains only setup table's data
Only Delta update data moves into RSA7/LBWQ/SM13 no full/delta
initialization loads data.
$$ Assign points dude if if really helps you $$
Hope it helps! -
InfoSpoke as Data Source in the same system
Hello Expert,
I try to include the result of infospoke as transparent table (the source of infospoke is a basic cube), this table I need to include as DataSource for using into other cube into the same system.
The transparent table is generated succesfully, but when I try to generate generic data source (SAVE), the system indicate a message:
Invalid extract structure template /BIC/OHZRD_MMC_S of data source [name datasource].
So it is very urgent and importat because it is part of a possible solution if anybody could help me in this hole or if exist other solution to my problem, please tell me.
Thanks in advanced.Hello,
I have not tried this method, as i will suggest the use of export data source , rather than extracting to a table and then loading to other data target.
Now you are taking a long routelike: Cube-> open hub->table->datasource->data target
if you use an export data source: Cube-> export datasource-> data target
now, the scenario cant avoid such modeling of infospoke , then the option is to create a view bsed on the generated table and create the datasource on top of the view.
Happy Tony -
How to get the open order quantity for a material
Hi All,
We need to get the open order quantity for materials. At present we are using the following logic...
SELECT VBAKVBELN VBAPPOSNR VBAP~KWMENG
INTO TABLE IT_VBAP
FROM VBAP
INNER JOIN VBAK ON VBAKVBELN = VBAPVBELN
INNER JOIN VAPMA ON VAPMAVBELN = VBAPVBELN
AND VAPMAPOSNR = VBAPPOSNR
INNER JOIN VBUP ON VBUPVBELN = VBAPVBELN
AND VBUPPOSNR = VBAPPOSNR
WHERE VAPMA~MATNR = IT_OUTPUT-MATNR
AND VAPMA~WERKS = IT_OUTPUT-WERKS
AND VBAK~AUART IN S_AUART
AND VBUP~GBSTA NE 'C'.
But the Query takes quite a long time as it does a full range scan on all the tables. Is there any way the query can be improved, may be by creating an index etc? Or is there anyother way by which i can get the required data?
Any input is appreciated.
Regards
Brain.This could help.
*& Report: zsdvr055 date written: 03/24/00 *
*& Author: Brian Huntley last update: 03/24/00 *
*& Program Title: Open Order Report *
*& Description: This report will create a list of sales documents *
*& that are open (contain at least one item that is not shipped). *
*& The report will sort by ship-to customer name and by sales *
*& document number. *
*& Tables: *
*& Files: *
*& Transactions: *
*& Changes: *
REPORT ZSDVR055 LINE-SIZE 255.
TABLES: VBPA,
VBAP,
VBUP,
VBAK,
VBKD,
KNA1,
VBEP,
VBFA,
LIKP,
LIPS,
EKET,
T171T.
define hashed table for selected ship-to and sold-to SO's
TYPES: BEGIN OF TVBPA_TYPE,
VBELN LIKE VBPA-VBELN, "sales document
POSNR LIKE VBPA-POSNR, "item number
PARVW LIKE VBPA-PARVW, "partner function
KUNNR LIKE VBPA-KUNNR, "customer number
END OF TVBPA_TYPE.
DATA: TVBPA TYPE HASHED TABLE OF TVBPA_TYPE
WITH UNIQUE KEY VBELN POSNR PARVW WITH HEADER LINE.
define internal table for all selected SO's
DATA: BEGIN OF ITAB0 OCCURS 0,
VBELN LIKE VBPA-VBELN, "sales document
END OF ITAB0.
define internal table for all selected SO items
DATA: BEGIN OF ITAB OCCURS 0,
VBELN LIKE VBAP-VBELN, "document number
POSNR LIKE VBAP-POSNR, "item number
MATNR LIKE VBAP-MATNR, "material
ARKTX LIKE VBAP-ARKTX, "description
PSTYV LIKE VBAP-PSTYV, "item category
KDMAT LIKE VBAP-KDMAT, "customer material
NETWR LIKE VBAP-NETWR, "net value
WAERK LIKE VBAP-WAERK, "currency
KWMENG LIKE VBAP-KWMENG, "quantity
ERDAT LIKE VBAP-ERDAT, "entry date
NETPR LIKE VBAP-NETPR, "net price
KPEIN LIKE VBAP-KPEIN, "pricing unit
PRCTR LIKE VBAP-PRCTR, "profit center
ERNAM LIKE VBAK-ERNAM, "entered by
AUART LIKE VBAK-AUART, "order type
VKORG LIKE VBAK-VKORG, "sales organization
VTWEG LIKE VBAK-VTWEG, "distribution channel
VDATU LIKE VBAK-VDATU, "requested date (header)
BNAME LIKE VBAK-BNAME, "name of orderer
KUNNR LIKE VBAK-KUNNR, "sold-to customer
BZIRK LIKE VBKD-BZIRK, "sales district
KURSK LIKE VBKD-KURSK, "conversion rate
BSTKD LIKE VBKD-BSTKD, "customer PO
LFGSA LIKE VBUP-LFGSA, "overall delivery status
FKSAA LIKE VBUP-FKSAA, "overall billing status
KUNWE LIKE VBPA-KUNNR, "ship-to customer
NAME1 LIKE KNA1-NAME1, "ship-to customer name
ORT01 LIKE KNA1-ORT01, "ship-to address
REGIO LIKE KNA1-REGIO, "ship-to region (state)
LAND1 LIKE KNA1-LAND1, "ship-to country
END OF ITAB.
create internal table for open orders
DATA: BEGIN OF ITAB1 OCCURS 0,
KUNNR LIKE VBAK-KUNNR, "sold-to customer
KUNWE LIKE VBPA-KUNNR, "ship-to customer
VBELN LIKE VBAP-VBELN, "document number
POSNR LIKE VBAP-POSNR, "item number
ZDATE1 LIKE VBEP-EDATU, "requested date
ZDATE2 LIKE VBEP-EDATU, "scheduled date (confirm)
ZDATE3 LIKE VBEP-EDATU, "committed date
ZQTY1 LIKE VBAP-KWMENG, "qty ordered
ZQTY2 LIKE VBEP-BMENG, "backlog qty
ZEXTD LIKE VBAP-NETWR, "backlog net value
ZDESC(30) TYPE C, "backlog description
END OF ITAB1.
define internal table for SO schedule lines
DATA: BEGIN OF ITAB2A OCCURS 0,
WADAT LIKE VBEP-WADAT, "planned goods issue date
VBELN LIKE VBAP-VBELN, "document number
POSNR LIKE VBAP-POSNR, "item number
WMENG LIKE VBEP-WMENG, "qty ordered
BMENG LIKE VBEP-BMENG, "qty confirmed
END OF ITAB2A.
define internal table for SO item request dates
DATA: BEGIN OF ITAB2B OCCURS 0,
EDATU LIKE VBEP-EDATU, "delivery date
VBELN LIKE VBAP-VBELN, "document number
POSNR LIKE VBAP-POSNR, "item number
WMENG LIKE VBEP-WMENG, "qty ordered
END OF ITAB2B.
define internal table for SO item commit dates
DATA: BEGIN OF ITAB2C OCCURS 0,
EDATU LIKE VBEP-EDATU, "delivery date
VBELN LIKE VBAP-VBELN, "document number
POSNR LIKE VBAP-POSNR, "item number
ROMS1 LIKE VBEP-WMENG, "committed qty
END OF ITAB2C.
define internal table for SO item deliveries
DATA: BEGIN OF ITAB3 OCCURS 0,
VGBEL LIKE LIPS-VGBEL, "sales document
VGPOS LIKE LIPS-VGPOS, "sales document item
VBELN LIKE LIKP-VBELN, "delivery number
POSNR LIKE LIPS-POSNR, "delivery item number
WADAT LIKE LIKP-WADAT, "planned GI date
WADAT_IST LIKE LIKP-WADAT_IST, "actual GI date
LFIMG LIKE LIPS-LFIMG, "actual qty delivered
ERDAT LIKE LIKP-ERDAT, "date created
ERZET LIKE LIKP-ERZET, "time created
END OF ITAB3.
define internal table for SO item / delivery cross reference
DATA: BEGIN OF ITAB4 OCCURS 0,
VBELV LIKE VBFA-VBELV, "sales document
POSNV LIKE VBFA-POSNV, "sales document item
VBELN LIKE VBFA-VBELN, "delivery number
POSNN LIKE VBFA-POSNN, "delivery item
VBTYP_N LIKE VBFA-VBTYP_N, "document category
RFMNG LIKE VBFA-RFMNG, "qty delivered
PLMIN LIKE VBFA-PLMIN, "plus/minus flag
END OF ITAB4.
define local variables
DATA: ORDR_QTY LIKE VBEP-WMENG, "order qty
CONF_QTY LIKE VBEP-BMENG, "confirmed qty
NOCONF_QTY LIKE VBEP-BMENG, "qty not confirmed
DELV_QTY LIKE VBEP-WMENG, "qty delivered
NODELV_QTY LIKE VBEP-WMENG, "qty not delivered
REMAIN_QTY LIKE VBEP-WMENG, "qty remain to get conf date
REQ_DATE LIKE VBEP-EDATU, "request date
COM_DATE LIKE VBEP-EDATU, "committed date
DELV_QTY1 LIKE VBEP-WMENG, "preceding delivery qty
REMAIN_QTY1 LIKE VBEP-WMENG, "qty remain to get reqest date
REMAIN_QTY2 LIKE VBEP-WMENG, "qty remain to get commit date
THIRD_QTY LIKE VBEP-WMENG, "3rd party no PO qty
SO_STOCK LIKE MSKA-KALAB, "sales order stock
ZPRICE LIKE VBAP-NETPR, "unit price USD
ADRS1(40) TYPE C, "concatenated city and region
ADRS2(45) TYPE C, "city, region and country
ADRS3(80) TYPE C, "name, city, rgn, ctry
ZCNTR TYPE I. "counter
define select options
SELECTION-SCREEN BEGIN OF BLOCK BLK1 WITH FRAME TITLE TEXT-001.
SELECT-OPTIONS: S_VKORG FOR VBAK-VKORG DEFAULT '1000',
S_VTWEG FOR VBAK-VTWEG DEFAULT '10' NO-DISPLAY,
S_SPART FOR VBAK-SPART DEFAULT '00' NO-DISPLAY,
S_KUNNR FOR VBPA-KUNNR MATCHCODE OBJECT DEBI,
S_KUNWE FOR VBPA-KUNNR MATCHCODE OBJECT DEBI.
SELECTION-SCREEN SKIP.
SELECT-OPTIONS:
S_BZIRK FOR VBKD-BZIRK,
S_PRCTR FOR VBAP-PRCTR,
S_MATNR FOR VBAP-MATNR MATCHCODE OBJECT MAT1,
S_ERNAM FOR VBAK-ERNAM,
S_ERDAT FOR VBAP-ERDAT.
SELECTION-SCREEN END OF BLOCK BLK1.
AT SELECTION-SCREEN.
IF S_KUNNR IS INITIAL AND S_KUNWE IS INITIAL.
MESSAGE E005(ZM) WITH TEXT-100.
ENDIF.
MAIN PROGRAM
INITIALIZATION.
INCLUDE ZSYHEADR.
START-OF-SELECTION.
PERFORM 100_GET_SO_ITEMS.
PERFORM 200_GET_NO_DELIVERY.
PERFORM 300_GET_NO_GOODS_ISSUE.
PERFORM 400_GET_PARTIAL_DELIVERY.
PERFORM 500_GET_THIRD_PARTY.
PERFORM 900_CREATE_LIST.
FORM 100_GET_SO_ITEMS
FORM 100_GET_SO_ITEMS.
get SO's for selected ship-to and sold-to customers
REFRESH TVBPA.
IF NOT S_KUNNR IS INITIAL.
SELECT VBELN POSNR PARVW KUNNR
FROM VBPA INTO TABLE TVBPA
WHERE KUNNR IN S_KUNNR AND PARVW = 'AG' AND VBELN < '0080000000'.
ENDIF.
IF NOT S_KUNWE IS INITIAL.
SELECT VBELN POSNR PARVW KUNNR
FROM VBPA APPENDING TABLE TVBPA
WHERE KUNNR IN S_KUNWE AND PARVW = 'WE' AND VBELN < '0080000000'.
ENDIF.
DESCRIBE TABLE TVBPA LINES ZCNTR.
IF ZCNTR = 0.
WRITE: /1 'No data found for selection'.
STOP.
ENDIF.
eliminate duplicate SO's
LOOP AT TVBPA.
CLEAR ITAB0.
MOVE TVBPA-VBELN TO ITAB0-VBELN.
APPEND ITAB0.
ENDLOOP.
DELETE ADJACENT DUPLICATES FROM ITAB0.
get SO detail
SELECT VBAP~VBELN VBAP~POSNR VBAP~MATNR VBAP~ARKTX VBAP~PSTYV
VBAP~KDMAT VBAP~NETWR VBAP~WAERK VBAP~KWMENG VBAP~ERDAT
VBAP~NETPR VBAP~KPEIN VBAP~PRCTR VBAK~ERNAM VBAK~AUART
VBAK~VKORG VBAK~VTWEG VBAK~VDATU VBAK~BNAME VBAK~KUNNR
VBKD~BZIRK VBKD~KURSK VBKD~BSTKD VBUP~LFGSA VBUP~FKSAA
FROM VBAP INNER JOIN VBUP ON VBUP~VBELN = VBAP~VBELN AND
VBUP~POSNR = VBAP~POSNR
INNER JOIN VBKD ON VBKD~VBELN = VBAP~VBELN AND
VBKD~POSNR = VBAP~POSNR
INNER JOIN VBAK ON VBAK~VBELN = VBAP~VBELN
INTO TABLE ITAB FOR ALL ENTRIES IN ITAB0
WHERE VBAP~VBELN = ITAB0-VBELN AND VBAP~MATNR IN S_MATNR AND
VBAP~ERDAT IN S_ERDAT AND VBAP~PRCTR IN S_PRCTR AND
VBAP~ABGRU = SPACE AND VBKD~BZIRK IN S_BZIRK AND
VBAK~VKORG IN S_VKORG AND VBAK~VTWEG IN S_VTWEG AND
VBAK~SPART IN S_SPART AND VBAK~KUNNR IN S_KUNNR AND
VBAK~ERNAM IN S_ERNAM.
IF SY-SUBRC <> 0.
WRITE: /1 'No data found for selection'.
STOP.
ENDIF.
loop thru SO items
LOOP AT ITAB.
get ship-to customer
IF NOT S_KUNWE IS INITIAL.
CLEAR TVBPA.
READ TABLE TVBPA WITH TABLE KEY VBELN = ITAB-VBELN
POSNR = ITAB-POSNR PARVW = 'WE'.
IF SY-SUBRC <> 0.
READ TABLE TVBPA WITH TABLE KEY VBELN = ITAB-VBELN
POSNR = '000000' PARVW = 'WE'.
ENDIF.
MOVE TVBPA-KUNNR TO ITAB-KUNWE.
ELSE.
CLEAR ITAB-KUNWE.
SELECT SINGLE KUNNR FROM VBPA INTO ITAB-KUNWE
WHERE VBELN = ITAB-VBELN AND POSNR = ITAB-POSNR AND
PARVW = 'WE'.
IF SY-SUBRC <> 0.
SELECT SINGLE KUNNR FROM VBPA INTO ITAB-KUNWE
WHERE VBELN = ITAB-VBELN AND POSNR = '000000' AND
PARVW = 'WE'.
ENDIF.
ENDIF.
IF NOT ITAB-KUNWE IN S_KUNWE.
DELETE ITAB.
CONTINUE.
ENDIF.
get ship-to customer address info
SELECT SINGLE NAME1 ORT01 REGIO LAND1 FROM KNA1
INTO (ITAB-NAME1, ITAB-ORT01, ITAB-REGIO, ITAB-LAND1)
WHERE KUNNR = ITAB-KUNWE.
MODIFY ITAB.
ENDLOOP.
SORT ITAB BY VBELN POSNR.
ENDFORM.
FORM 200_GET_NO_DELIVERY
get detail for SO items w/ no deliveries for order document types
(ZZOR, ZZC1, ZZCO, ZZRP, ZZRW, KE, KR, ZCHP, ZPSO, ZZNC)
FORM 200_GET_NO_DELIVERY.
LOOP AT ITAB WHERE AUART = 'ZZOR' OR AUART = 'ZZC1' OR
AUART = 'ZZCO' OR AUART = 'ZZRP' OR AUART = 'ZZRW' OR
AUART = 'KE' OR AUART = 'KR' OR AUART = 'ZCHP' OR
AUART = 'ZPSO' OR AUART = 'ZZNC'.
select if delivery status = A (not delivered)
IF ITAB-LFGSA = 'A'.
assign values to detail fields
CLEAR ITAB1.
ITAB1-KUNNR = ITAB-KUNNR.
ITAB1-KUNWE = ITAB-KUNWE.
ITAB1-VBELN = ITAB-VBELN.
ITAB1-POSNR = ITAB-POSNR.
IF ITAB-KURSK = 0.
ITAB-KURSK = 1.
ENDIF.
IF ITAB-KPEIN = 0.
ITAB-KPEIN = 1.
ENDIF.
select schedule lines for SO item and write to internal table itab2a
SELECT WADAT VBELN POSNR WMENG BMENG
FROM VBEP INTO TABLE ITAB2A
WHERE VBELN = ITAB-VBELN AND POSNR = ITAB-POSNR.
select sched lines w/request date and write to internal table itab2b
SELECT EDATU VBELN POSNR WMENG
FROM VBEP INTO TABLE ITAB2B
WHERE VBELN = ITAB-VBELN AND POSNR = ITAB-POSNR AND
WMENG <> 0.
select sched lines w/commit date and write to internal table itab2c
SELECT EDATU VBELN POSNR ROMS1
FROM VBEP INTO TABLE ITAB2C
WHERE VBELN = ITAB-VBELN AND POSNR = ITAB-POSNR AND
ROMS1 <> 0.
SORT ITAB2A BY WADAT.
SORT ITAB2B BY EDATU.
SORT ITAB2C BY EDATU.
ORDR_QTY = 0.
CONF_QTY = 0.
NOCONF_QTY = 0.
calculate the unconfirmed qty for a SO item
LOOP AT ITAB2A.
CONF_QTY = CONF_QTY + ITAB2A-BMENG.
ORDR_QTY = ORDR_QTY + ITAB2A-WMENG.
ENDLOOP.
NOCONF_QTY = ORDR_QTY - CONF_QTY.
LOOP AT ITAB2A WHERE BMENG <> 0.
PERFORM GET_REQUEST_DATE TABLES ITAB2B
USING ITAB2A-BMENG REQ_DATE.
PERFORM GET_COMMIT_DATE TABLES ITAB2C
USING ITAB2A-BMENG COM_DATE.
ITAB1-ZDATE1 = REQ_DATE.
ITAB1-ZDATE2 = ITAB2A-WADAT.
ITAB1-ZDATE3 = COM_DATE.
ITAB1-ZQTY1 = ITAB-KWMENG.
ITAB1-ZQTY2 = ITAB2A-BMENG.
ITAB1-ZDESC = 'no delivery, confirmed'.
calculate net value for backlog qty
ZPRICE = ( ITAB-NETPR / ITAB-KPEIN ) * ITAB-KURSK.
ITAB1-ZEXTD = ITAB1-ZQTY2 * ZPRICE.
if order type is consignment return (KR), reverse sign
IF ITAB-AUART = 'KR'.
ITAB1-ZQTY1 = ITAB1-ZQTY1 * -1.
ITAB1-ZQTY2 = ITAB1-ZQTY2 * -1.
ITAB1-ZEXTD = ITAB1-ZEXTD * -1.
ENDIF.
APPEND ITAB1.
ENDLOOP.
get request date for SO item
IF NOCONF_QTY <> 0.
PERFORM GET_REQUEST_DATE TABLES ITAB2B
USING NOCONF_QTY REQ_DATE.
PERFORM GET_COMMIT_DATE TABLES ITAB2C
USING NOCONF_QTY COM_DATE.
ITAB1-ZDATE1 = REQ_DATE.
ITAB1-ZDATE2 = '99991231'.
ITAB1-ZDATE3 = COM_DATE.
ITAB1-ZQTY1 = ITAB-KWMENG.
ITAB1-ZQTY2 = NOCONF_QTY.
ITAB1-ZDESC = 'no delivery, not confirmed'.
calculate net value for backlog qty
ZPRICE = ( ITAB-NETPR / ITAB-KPEIN ) * ITAB-KURSK.
ITAB1-ZEXTD = ITAB1-ZQTY2 * ZPRICE.
if order type is consignment return (KR), reverse sign
IF ITAB-AUART = 'KR'.
ITAB1-ZQTY1 = ITAB1-ZQTY1 * -1.
ITAB1-ZQTY2 = ITAB1-ZQTY2 * -1.
ITAB1-ZEXTD = ITAB1-ZEXTD * -1.
ENDIF.
APPEND ITAB1.
ENDIF.
ENDIF.
ENDLOOP.
ENDFORM.
FORM 300_GET_NO_GOODS_ISSUE
get detail for SO items w/deliveries and no goods issue for
doc types (ZZOR, ZZC1, ZZCO, ZZRP, ZZRW, KE, KR, ZCHP, ZPSO, ZZNC)
FORM 300_GET_NO_GOODS_ISSUE.
get detail for deliveries w/no goods issue
SELECT VBELN WADAT WADAT_IST ERDAT ERZET
FROM LIKP INTO (LIKP-VBELN, LIKP-WADAT, LIKP-WADAT_IST,
LIKP-ERDAT, LIKP-ERZET)
WHERE WADAT_IST = 0.
select if actual qty delivered <> 0
CLEAR LIPS.
SELECT POSNR VGBEL VGPOS LFIMG
FROM LIPS INTO (LIPS-POSNR, LIPS-VGBEL, LIPS-VGPOS, LIPS-LFIMG)
WHERE VBELN = LIKP-VBELN AND LFIMG <> 0.
select if goods movement status on delivery = A (no goods issue)
CLEAR VBUP.
SELECT SINGLE WBSTA FROM VBUP INTO VBUP-WBSTA
WHERE VBELN = LIKP-VBELN AND POSNR = LIPS-POSNR.
IF VBUP-WBSTA = 'A'.
CLEAR ITAB3.
ITAB3-VGBEL = LIPS-VGBEL.
ITAB3-VGPOS = LIPS-VGPOS.
ITAB3-VBELN = LIKP-VBELN.
ITAB3-POSNR = LIPS-POSNR.
ITAB3-WADAT = LIKP-WADAT.
ITAB3-WADAT_IST = LIKP-WADAT_IST.
ITAB3-LFIMG = LIPS-LFIMG.
ITAB3-ERDAT = LIKP-ERDAT.
ITAB3-ERZET = LIKP-ERZET.
APPEND ITAB3.
ENDIF.
ENDSELECT.
ENDSELECT.
SORT ITAB3 BY VGBEL VGPOS VBELN POSNR.
loop thru deliveries w/no goods issue and get SO item detail
LOOP AT ITAB3.
CLEAR ITAB.
READ TABLE ITAB WITH KEY VBELN = ITAB3-VGBEL POSNR = ITAB3-VGPOS.
IF SY-SUBRC <> 0.
IF ITAB-AUART = 'ZZOR' OR ITAB-AUART = 'ZZC1' OR
ITAB-AUART = 'ZZCO' OR ITAB-AUART = 'ZZRP' OR
ITAB-AUART = 'ZZRW' OR ITAB-AUART = 'KE' OR
ITAB-AUART = 'KR' OR ITAB-AUART = 'ZCHP' OR
ITAB-AUART = 'ZPSO' OR ITAB-AUART = 'ZZNC'.
assign values to detail fields
CLEAR ITAB1.
ITAB1-KUNNR = ITAB-KUNNR.
ITAB1-KUNWE = ITAB-KUNWE.
ITAB1-VBELN = ITAB-VBELN.
ITAB1-POSNR = ITAB-POSNR.
IF ITAB-KURSK = 0.
ITAB-KURSK = 1.
ENDIF.
IF ITAB-KPEIN = 0.
ITAB-KPEIN = 1.
ENDIF.
select delivery qty for SO item and write to internal table
SELECT VBELV POSNV VBELN POSNN VBTYP_N RFMNG PLMIN
FROM VBFA INTO TABLE ITAB4
WHERE VBELV = ITAB-VBELN AND POSNV = ITAB-POSNR AND
( VBTYP_N = 'J' OR VBTYP_N = 'T' ).
calculate total delivery qty for SO item
DELV_QTY = 0.
DELV_QTY1 = 0.
LOOP AT ITAB4.
IF ITAB4-VBTYP_N = 'J' OR ( ITAB4-VBTYP_N = 'T' AND
ITAB-AUART = 'KR').
IF ITAB4-PLMIN = '-'.
ITAB4-RFMNG = ITAB4-RFMNG * -1.
ENDIF.
determine if delivery for SO item precedes delivery w/no goods
issue (to determine request date and qty)
CLEAR LIKP.
SELECT SINGLE ERDAT ERZET
FROM LIKP INTO (LIKP-ERDAT, LIKP-ERZET)
WHERE VBELN = ITAB4-VBELN.
IF LIKP-ERDAT < ITAB3-ERDAT OR ( LIKP-ERDAT = ITAB3-ERDAT
AND LIKP-ERZET < ITAB3-ERZET ).
DELV_QTY1 = DELV_QTY1 + ITAB4-RFMNG.
ENDIF.
DELV_QTY = DELV_QTY + ITAB4-RFMNG.
ENDIF.
ENDLOOP.
get request dates for SO item
REFRESH ITAB2B.
SELECT EDATU VBELN POSNR WMENG
FROM VBEP INTO TABLE ITAB2B
WHERE VBELN = ITAB-VBELN AND POSNR = ITAB-POSNR AND
WMENG <> 0.
select sched lines w/commit date and write to itab2c
REFRESH ITAB2C.
SELECT EDATU VBELN POSNR ROMS1
FROM VBEP INTO TABLE ITAB2C
WHERE VBELN = ITAB-VBELN AND POSNR = ITAB-POSNR AND
ROMS1 <> 0.
SORT ITAB2B BY EDATU.
SORT ITAB2C BY EDATU.
loop thru request dates and delete request date entries for
quantity(s) for preceding deliveries
REMAIN_QTY1 = DELV_QTY1.
LOOP AT ITAB2B.
IF ITAB2B-WMENG > REMAIN_QTY1.
ITAB2B-WMENG = ITAB2B-WMENG - REMAIN_QTY1.
MODIFY ITAB2B.
EXIT.
ELSEIF ITAB2B-WMENG = REMAIN_QTY1.
DELETE ITAB2B.
EXIT.
ELSE.
REMAIN_QTY1 = REMAIN_QTY1 - ITAB2B-WMENG.
DELETE ITAB2B.
ENDIF.
ENDLOOP.
loop thru commit dates and delete commit date entries for
quantity(s) for preceding deliveries
REMAIN_QTY2 = DELV_QTY1.
LOOP AT ITAB2C.
IF ITAB2C-ROMS1 > REMAIN_QTY2.
ITAB2C-ROMS1 = ITAB2C-ROMS1 - REMAIN_QTY2.
MODIFY ITAB2C.
EXIT.
ELSEIF ITAB2C-ROMS1 = REMAIN_QTY2.
DELETE ITAB2C.
EXIT.
ELSE.
REMAIN_QTY2 = REMAIN_QTY2 - ITAB2C-ROMS1.
DELETE ITAB2C.
ENDIF.
ENDLOOP.
if planned goods issue date is 0, put qty in non-confirmed
get request date for SO item
IF ITAB3-WADAT <> 0.
PERFORM GET_REQUEST_DATE TABLES ITAB2B
USING ITAB3-LFIMG REQ_DATE.
PERFORM GET_COMMIT_DATE TABLES ITAB2C
USING ITAB3-LFIMG COM_DATE.
ITAB1-ZDATE1 = REQ_DATE.
ITAB1-ZDATE2 = ITAB3-WADAT.
ITAB1-ZDATE3 = COM_DATE.
ITAB1-ZQTY1 = ITAB-KWMENG.
ITAB1-ZQTY2 = ITAB3-LFIMG.
ITAB1-ZDESC = 'delivery, no goods issue'.
ELSE.
PERFORM GET_REQUEST_DATE TABLES ITAB2B
USING ITAB3-LFIMG REQ_DATE.
PERFORM GET_COMMIT_DATE TABLES ITAB2C
USING ITAB3-LFIMG COM_DATE.
ITAB1-ZDATE1 = REQ_DATE.
ITAB1-ZDATE2 = '99991231'.
ITAB1-ZDATE3 = COM_DATE.
ITAB1-ZQTY1 = ITAB-KWMENG.
ITAB1-ZQTY2 = ITAB3-LFIMG.
ITAB1-ZDESC = 'delivery, no goods issue date'.
ENDIF.
calculate net value for backlog qty
ZPRICE = ( ITAB-NETPR / ITAB-KPEIN ) * ITAB-KURSK.
ITAB1-ZEXTD = ITAB1-ZQTY2 * ZPRICE.
if order type is consignment return (KR), reverse sign
IF ITAB-AUART = 'KR'.
ITAB1-ZQTY1 = ITAB1-ZQTY1 * -1.
ITAB1-ZQTY2 = ITAB1-ZQTY2 * -1.
ITAB1-ZEXTD = ITAB1-ZEXTD * -1.
ENDIF.
APPEND ITAB1.
ENDIF.
ENDIF.
ENDLOOP.
ENDFORM.
FORM 400_GET_PARTIAL_DELIVERY
get detail for SO items w/partial deliveries for document types
(ZZOR, ZZC1, ZZCO, ZZRP, ZZRW, KE, KR, ZCHP, ZPSO, ZZNC)
FORM 400_GET_PARTIAL_DELIVERY.
process SO items for selected order types
LOOP AT ITAB WHERE AUART = 'ZZOR' OR AUART = 'ZZC1' OR
AUART = 'ZZCO' OR AUART = 'ZZRP' OR AUART = 'ZZRW' OR
AUART = 'KE' OR AUART = 'KR' OR AUART = 'ZCHP' OR
AUART = 'ZPSO' OR AUART = 'ZZNC'.
select if delivery status = B (partially delivered)
IF ITAB-LFGSA = 'B'.
assign values to detail fields
CLEAR ITAB1.
ITAB1-KUNNR = ITAB-KUNNR.
ITAB1-KUNWE = ITAB-KUNWE.
ITAB1-VBELN = ITAB-VBELN.
ITAB1-POSNR = ITAB-POSNR.
IF ITAB-KURSK = 0.
ITAB-KURSK = 1.
ENDIF.
IF ITAB-KPEIN = 0.
ITAB-KPEIN = 1.
ENDIF.
select delivery qty for SO item and write to internal table
SELECT VBELV POSNV VBELN POSNN VBTYP_N RFMNG PLMIN
FROM VBFA INTO TABLE ITAB4
WHERE VBELV = ITAB-VBELN AND POSNV = ITAB-POSNR AND
( VBTYP_N = 'J' OR VBTYP_N = 'T' ).
calculate total delivery qty for SO item
DELV_QTY = 0.
LOOP AT ITAB4.
IF ITAB4-VBTYP_N = 'J' OR ( ITAB4-VBTYP_N = 'T' AND
ITAB-AUART = 'KR').
IF ITAB4-PLMIN = '-'.
ITAB4-RFMNG = ITAB4-RFMNG * -1.
ENDIF.
DELV_QTY = DELV_QTY + ITAB4-RFMNG.
ENDIF.
ENDLOOP.
select schedule lines for SO item and write to internal table
REFRESH ITAB2A.
SELECT WADAT VBELN POSNR WMENG BMENG
FROM VBEP INTO TABLE ITAB2A
WHERE VBELN = ITAB-VBELN AND POSNR = ITAB-POSNR.
get request dates from schedule line table
REFRESH ITAB2B.
SELECT EDATU VBELN POSNR WMENG
FROM VBEP INTO TABLE ITAB2B
WHERE VBELN = ITAB-VBELN AND POSNR = ITAB-POSNR AND
WMENG <> 0.
get commit dates from schedule line table
REFRESH ITAB2C.
SELECT EDATU VBELN POSNR ROMS1
FROM VBEP INTO TABLE ITAB2C
WHERE VBELN = ITAB-VBELN AND POSNR = ITAB-POSNR AND
ROMS1 <> 0.
SORT ITAB2B BY EDATU.
SORT ITAB2C BY EDATU.
SORT ITAB2A BY WADAT.
loop thru request dates and delete request date entries for
quantity(s) already delivered
REMAIN_QTY1 = DELV_QTY.
LOOP AT ITAB2B.
IF ITAB2B-WMENG > REMAIN_QTY1.
ITAB2B-WMENG = ITAB2B-WMENG - REMAIN_QTY1.
MODIFY ITAB2B.
EXIT.
ELSEIF ITAB2B-WMENG = REMAIN_QTY1.
DELETE ITAB2B.
EXIT.
ELSE.
REMAIN_QTY1 = REMAIN_QTY1 - ITAB2B-WMENG.
DELETE ITAB2B.
ENDIF.
ENDLOOP.
loop thru commit dates and delete request date entries for
quantity(s) already delivered
REMAIN_QTY2 = DELV_QTY.
LOOP AT ITAB2C.
IF ITAB2C-ROMS1 > REMAIN_QTY2.
ITAB2C-ROMS1 = ITAB2C-ROMS1 - REMAIN_QTY2.
MODIFY ITAB2C.
EXIT.
ELSEIF ITAB2C-ROMS1 = REMAIN_QTY2.
DELETE ITAB2C.
EXIT.
ELSE.
REMAIN_QTY2 = REMAIN_QTY2 - ITAB2C-ROMS1.
DELETE ITAB2C.
ENDIF.
ENDLOOP.
ORDR_QTY = 0.
CONF_QTY = 0.
NOCONF_QTY = 0.
calculate the unconfirmed qty for SO item
LOOP AT ITAB2A.
ORDR_QTY = ORDR_QTY + ITAB2A-WMENG.
CONF_QTY = CONF_QTY + ITAB2A-BMENG.
ENDLOOP.
NOCONF_QTY = ORDR_QTY - CONF_QTY.
NODELV_QTY = ORDR_QTY - DELV_QTY.
loop thru schedule lines and process entries with no related
delivery(s)
REMAIN_QTY = DELV_QTY.
LOOP AT ITAB2A.
IF ITAB2A-BMENG <> 0.
IF ITAB2A-BMENG <= REMAIN_QTY.
REMAIN_QTY = REMAIN_QTY - ITAB2A-BMENG.
ELSE.
ITAB2A-BMENG = ITAB2A-BMENG - REMAIN_QTY.
PERFORM GET_REQUEST_DATE TABLES ITAB2B
USING ITAB2A-BMENG REQ_DATE.
PERFORM GET_COMMIT_DATE TABLES ITAB2C
USING ITAB2A-BMENG COM_DATE.
ITAB1-ZDATE1 = REQ_DATE.
ITAB1-ZDATE2 = ITAB2A-WADAT.
ITAB1-ZDATE3 = COM_DATE.
ITAB1-ZQTY1 = ITAB-KWMENG.
ITAB1-ZQTY2 = ITAB2A-BMENG.
ITAB1-ZDESC = 'partial delivery'.
calculate net value for backlog qty
ZPRICE = ( ITAB-NETPR / ITAB-KPEIN ) * ITAB-KURSK.
ITAB1-ZEXTD = ITAB1-ZQTY2 * ZPRICE.
if order type is consignment return (KR), reverse sign
IF ITAB-AUART = 'KR'.
ITAB1-ZQTY1 = ITAB1-ZQTY1 * -1.
ITAB1-ZQTY2 = ITAB1-ZQTY2 * -1.
ITAB1-ZEXTD = ITAB1-ZEXTD * -1.
ENDIF.
APPEND ITAB1.
REMAIN_QTY = 0.
ENDIF.
ENDIF.
ENDLOOP.
if total unconfirmed >= total not delivered, qty is unconfirmed
IF NOCONF_QTY >= NODELV_QTY.
PERFORM GET_REQUEST_DATE TABLES ITAB2B
USING NODELV_QTY REQ_DATE.
PERFORM GET_COMMIT_DATE TABLES ITAB2C
USING NODELV_QTY COM_DATE.
ITAB1-ZDATE1 = REQ_DATE.
ITAB1-ZDATE2 = '99991231'.
ITAB1-ZDATE3 = COM_DATE.
ITAB1-ZQTY1 = ITAB-KWMENG.
ITAB1-ZQTY2 = NODELV_QTY.
ITAB1-ZDESC = 'partial delv, not confirmed'.
calculate net value for backlog qty
ZPRICE = ( ITAB-NETPR / ITAB-KPEIN ) * ITAB-KURSK.
ITAB1-ZEXTD = ITAB1-ZQTY2 * ZPRICE.
if order type is consignment return (KR), reverse sign
IF ITAB-AUART = 'KR'.
ITAB1-ZQTY1 = ITAB1-ZQTY1 * -1.
ITAB1-ZQTY2 = ITAB1-ZQTY2 * -1.
ITAB1-ZEXTD = ITAB1-ZEXTD * -1.
ENDIF.
APPEND ITAB1.
ENDIF.
ENDIF.
ENDLOOP.
ENDFORM.
FORM 500_GET_THIRD_PARTY
get detail for third party SO items
FORM 500_GET_THIRD_PARTY.
process SO items for selected order types
LOOP AT ITAB WHERE PSTYV = 'TAS' AND ( AUART = 'ZZOR' OR
AUART = 'ZZC1' OR AUART = 'ZZCO' OR AUART = 'ZZRP' OR
AUART = 'ZZRW' OR AUART = 'KE' OR AUART = 'KR' OR
AUART = 'ZCHP' OR AUART = 'ZPSO' OR AUART = 'ZZNC' ).
select if billing status <> C (billed)
IF ITAB-FKSAA <> 'C'.
assign values to detail fields
CLEAR ITAB1.
ITAB1-KUNNR = ITAB-KUNNR.
ITAB1-KUNWE = ITAB-KUNWE.
ITAB1-VBELN = ITAB-VBELN.
ITAB1-POSNR = ITAB-POSNR.
IF ITAB-KURSK = 0.
ITAB-KURSK = 1.
ENDIF.
IF ITAB-KPEIN = 0.
ITAB-KPEIN = 1.
ENDIF.
get request dates from schedule line table
REFRESH ITAB2B.
SELECT EDATU VBELN POSNR WMENG
FROM VBEP INTO TABLE ITAB2B
WHERE VBELN = ITAB-VBELN AND POSNR = ITAB-POSNR AND
WMENG <> 0.
get commit dates from schedule line table
REFRESH ITAB2C.
SELECT EDATU VBELN POSNR ROMS1
FROM VBEP INTO TABLE ITAB2C
WHERE VBELN = ITAB-VBELN AND POSNR = ITAB-POSNR AND
ROMS1 <> 0.
SORT ITAB2B BY EDATU.
SORT ITAB2C BY EDATU.
get PO number(s) for SO item and write to internal table
REFRESH ITAB4.
SELECT VBELV POSNV VBELN POSNN VBTYP_N RFMNG PLMIN
FROM VBFA INTO TABLE ITAB4
WHERE VBELV = ITAB-VBELN AND POSNV = ITAB-POSNR AND
VBTYP_N = 'V' AND RFMNG <> 0.
calculate total delivery qty for PO item
DELV_QTY = 0.
LOOP AT ITAB4.
IF ITAB4-PLMIN = '-'.
ITAB4-RFMNG = ITAB4-RFMNG * -1.
ENDIF.
DELV_QTY = DELV_QTY + ITAB4-RFMNG.
ENDLOOP.
loop thru PO's for SO item
LOOP AT ITAB4.
select delivery lines for PO item
SELECT EINDT EBELN EBELP MENGE FROM EKET
INTO (EKET-EINDT, EKET-EBELN, EKET-EBELP, EKET-MENGE)
WHERE EBELN = ITAB4-VBELN AND EBELP = ITAB4-POSNN.
PERFORM GET_REQUEST_DATE TABLES ITAB2B
USING EKET-MENGE REQ_DATE.
PERFORM GET_COMMIT_DATE TABLES ITAB2C
USING EKET-MENGE COM_DATE.
ITAB1-ZDATE1 = REQ_DATE.
ITAB1-ZDATE2 = EKET-EINDT.
ITAB1-ZDATE3 = COM_DATE.
ITAB1-ZQTY1 = ITAB-KWMENG.
ITAB1-ZQTY2 = EKET-MENGE.
ITAB1-ZDESC = '3rd party item'.
calculate net value for backlog qty
ZPRICE = ( ITAB-NETPR / ITAB-KPEIN ) * ITAB-KURSK.
ITAB1-ZEXTD = ITAB1-ZQTY2 * ZPRICE.
APPEND ITAB1.
ENDSELECT.
ENDLOOP.
if total delivery qty < order qty, put remaining in non-confirmed
IF DELV_QTY < ITAB-KWMENG.
THIRD_QTY = ITAB-KWMENG - DELV_QTY.
PERFORM GET_REQUEST_DATE TABLES ITAB2B
USING THIRD_QTY REQ_DATE.
PERFORM GET_COMMIT_DATE TABLES ITAB2C
USING THIRD_QTY COM_DATE.
ITAB1-ZDATE1 = REQ_DATE.
ITAB1-ZDATE2 = '99991231'.
ITAB1-ZDATE2 = COM_DATE.
ITAB1-ZQTY1 = ITAB-KWMENG.
ITAB1-ZQTY2 = THIRD_QTY.
ITAB1-ZDESC = '3rd party item, no PO'.
calculate net value for backlog qty
ZPRICE = ( ITAB-NETPR / ITAB-KPEIN ) * ITAB-KURSK.
ITAB1-ZEXTD = ITAB1-ZQTY2 * ZPRICE.
APPEND ITAB1.
CONTINUE.
ENDIF.
ENDIF.
ENDLOOP.
ENDFORM.
FORM 900_CREATE_LIST
process open business detail and create list
FORM 900_CREATE_LIST.
if internal table is empty, write message and exit
DESCRIBE TABLE ITAB1 LINES ZCNTR.
IF ZCNTR = 0.
WRITE: / 'No Data Found for Selection'.
STOP.
ENDIF.
SORT ITAB1 BY KUNNR KUNWE VBELN POSNR.
loop thru sorted table and create list
LOOP AT ITAB1.
IF ITAB1-ZDATE1 = SPACE.
ITAB1-ZDATE1 = '99991231'.
ENDIF.
IF ITAB1-ZDATE3 = SPACE.
ITAB1-ZDATE3 = '99991231'.
ENDIF.
get SO item detail
CLEAR ITAB.
READ TABLE ITAB WITH KEY VBELN = ITAB1-VBELN
POSNR = ITAB1-POSNR BINARY SEARCH.
print sold-to and ship-to customer header info
AT NEW KUNWE.
CLEAR KNA1.
SELECT SINGLE NAME1 FROM KNA1 INTO KNA1-NAME1
WHERE KUNNR = ITAB1-KUNNR.
CONCATENATE ITAB-ORT01 ITAB-REGIO INTO ADRS1 SEPARATED BY ', '.
CONCATENATE ADRS1 ITAB-LAND1 INTO ADRS2 SEPARATED BY ' '.
CONCATENATE ITAB-NAME1 ADRS2 INTO ADRS3 SEPARATED BY ' '.
FORMAT COLOR 1 INTENSIFIED OFF.
WRITE: /1 'Sold-to:', 10 ITAB1-KUNNR, 18 KNA1-NAME1,
56 'Ship-to:', 65 ITAB1-KUNWE, 73 ADRS3.
FORMAT RESET.
SKIP.
ENDAT.
print out backlog detail
CLEAR T171T.
SELECT SINGLE BZTXT FROM T171T INTO T171T-BZTXT
WHERE SPRAS = SY-LANGU AND BZIRK = ITAB-BZIRK.
WRITE: /1 ITAB1-VBELN,
13(6) ITAB1-POSNR NO-ZERO,
21 ITAB-MATNR,
41 ITAB-ARKTX,
83 ITAB1-ZDATE1,
95 ITAB1-ZDATE3,
107 ITAB1-ZDATE2,
119 ITAB-ERNAM,
129 ITAB-BZIRK, 135 T171T-BZTXT,
157(20) ITAB-BSTKD,
179(12) ITAB1-ZQTY1 DECIMALS 0,
193(12) ITAB1-ZQTY2 DECIMALS 0,
207(16) ITAB1-ZEXTD DECIMALS 2,
225 ITAB1-ZDESC.
AT END OF VBELN.
SKIP.
ENDAT.
print footing at ship-to customer
AT END OF KUNWE.
SUM.
ULINE: /193(12), 207(16).
FORMAT COLOR 1 INTENSIFIED OFF.
WRITE: /1 'Total: Sold-to:', 18 ITAB1-KUNNR,
25 '/', 27 'Ship-to:', 36 ITAB1-KUNWE,
193(12) ITAB1-ZQTY2 DECIMALS 0,
207(16) ITAB1-ZEXTD DECIMALS 2.
FORMAT RESET.
SKIP 2.
ENDAT.
AT LAST.
SUM.
ULINE: /193(12), 207(16).
FORMAT COLOR 1 INTENSIFIED ON.
WRITE: /1 'Report Total:',
193(12) ITAB1-ZQTY2 DECIMALS 0,
207(16) ITAB1-ZEXTD DECIMALS 2.
FORMAT RESET.
ENDAT.
ENDLOOP.
ENDFORM.
FORM GET_REQUEST_DATE
subroutine to get request date for SO item
FORM GET_REQUEST_DATE TABLES FTAB STRUCTURE ITAB2B
USING CONF_QTY REQ_DATE.
DATA: REMAIN LIKE VBEP-WMENG, "qty remaining
CNTR TYPE I, "loop counter
TAB_INDEX TYPE I. "table index
initialize
REMAIN = 0.
REQ_DATE = SPACE.
get first request date from table
TAB_INDEX = 1.
READ TABLE FTAB INDEX TAB_INDEX.
if request date not found, set request date to blank
IF SY-SUBRC <> 0.
REQ_DATE = SPACE.
EXIT.
ELSE.
REQ_DATE = FTAB-EDATU.
ENDIF.
calculate quantity remaining for request date
REMAIN = FTAB-WMENG - CONF_QTY.
if qty remaining > 0, update request date with qty remaining
IF REMAIN > 0.
FTAB-WMENG = REMAIN.
MODIFY FTAB INDEX TAB_INDEX.
if qty remaining = 0, delete request date (so next request
date will be used for next confirmed qty)
ELSEIF REMAIN = 0.
DELETE FTAB INDEX TAB_INDEX.
if qty remaining < 0, find next request date and update
ELSE.
CNTR = 0.
WHILE REMAIN < 0 OR CNTR < 10.
DELETE FTAB INDEX TAB_INDEX.
TAB_INDEX = TAB_INDEX + 1.
READ TABLE FTAB INDEX TAB_INDEX.
REMAIN = REMAIN + FTAB-WMENG.
CNTR = CNTR + 1.
ENDWHILE.
IF REMAIN = 0.
DELETE FTAB INDEX TAB_INDEX.
ELSEIF REMAIN > 0.
FTAB-WMENG = REMAIN.
MODIFY FTAB INDEX TAB_INDEX.
ENDIF.
ENDIF.
ENDFORM.
FORM GET_COMMIT_DATE
subroutine to get commit date for SO item
FORM GET_COMMIT_DATE TABLES CTAB STRUCTURE ITAB2C
USING CONF_QTY COM_DATE.
DATA: REMAIN LIKE VBEP-WMENG, "qty remaining
CNTR TYPE I, "loop counter
TAB_INDEX TYPE I. "table index
initialize
REMAIN = 0.
COM_DATE = SPACE.
get first commit date from table
TAB_INDEX = 1.
READ TABLE CTAB INDEX TAB_INDEX.
if request date not found, set request date to blank
IF SY-SUBRC <> 0.
COM_DATE = SPACE.
EXIT.
ELSE.
COM_DATE = CTAB-EDATU.
ENDIF.
calculate quantity remaining for request date
REMAIN = CTAB-ROMS1 - CONF_QTY.
if qty remaining > 0, update request date with qty remaining
IF REMAIN > 0.
CTAB-ROMS1 = REMAIN.
MODIFY CTAB INDEX TAB_INDEX.
if qty remaining = 0, delete request date (so next request
date will be used for next confirmed qty)
ELSEIF REMAIN = 0.
DELETE CTAB INDEX TAB_INDEX.
if qty remaining < 0, find next request date and update
ELSE.
CNTR = 0.
WHILE REMAIN < 0 OR CNTR < 10.
DELETE CTAB INDEX TAB_INDEX.
TAB_INDEX = TAB_INDEX + 1.
READ TABLE CTAB INDEX TAB_INDEX.
REMAIN = REMAIN + CTAB-ROMS1.
CNTR = CNTR + 1.
ENDWHILE.
IF REMAIN = 0.
DELETE CTAB INDEX TAB_INDEX.
ELSEIF REMAIN > 0.
CTAB-ROMS1 = REMAIN.
MODIFY CTAB INDEX TAB_INDEX.
ENDIF.
ENDIF.
ENDFORM.
END-OF-REPORT. -
How to find open orders with amount and open deliveries?
Hi All,
I want to find out the open orders with open amount and open deliveries for a particular customer.
We need this for credit check purpose.
Kindly guide us for this.
Regards,
Satish.Hi,
To find out open order:
data: c_bef_pgi(1) TYPE c VALUE 'A',
RANGES: rg_wbstk FOR vbuk-wbstk."range for wbstk
rg_wbstk-sign = 'I'.
rg_wbstk-option = 'EQ'.
rg_wbstk-low = 'C'.
APPEND rg_wbstk.
rg_wbstk-low = 'A'.
APPEND rg_wbstk.
1.first put query on vbak table
2.Put query on vbuk table as
SELECT vbeln bestk lfstk gbstk FROM vbuk
INTO TABLE it_vbuk_open
FOR ALL ENTRIES IN it_vbak
WHERE vbeln = it_vbak-vbeln AND
bestk IN rg_wbstk AND
lfstk = c_bef_pgi.
so this wil give u open orders.
3. Then according to vbuk, get the details from vbap.
To find open delivery
1. First put query on vbak table
2. Put query on vbfa as
SELECT vbelv posnv vbeln posnn vbtyp_n vbtyp_v FROM vbfa
INTO TABLE it_vbfa
FOR ALL ENTRIES IN it_vbak
WHERE vbelv = it_vbak-vbeln AND
vbtyp_n = 'J' AND
vbtyp_v = 'C'.
3.Then from VBfa,get the details from LIkp
4.Then put entry on vbuk as
*entries from vbuk
SELECT vbeln wbstk fkstk gbstk FROM vbuk
INTO TABLE it_vbuk_del
FOR ALL ENTRIES IN it_likp
WHERE vbeln = it_likp-vbeln AND
wbstk IN rg_wbstk AND
fkstk = c_bef_pgi.
Thanks & Regards,
Anagha Deshmukh -
ODBC Data source administrator hanging for 20 seconds
After installing 32 bit ODAC 11.2 Release 5 and Oracle Developer Tools for Visual Studio (11.2.0.3.20) our business is reporting slow Excel/VBA code using ODBC.
The business are querying using a ODBC System DSN. It works but hangs for 20 second when VBA releases the connection.
I can see that I get the same pause after testing the connection in the "ODBC Data Source administrator"
1. Open ODBC Data Source administrator
2. Edit the System DSN
3. Push "Test Conncetion". Says "Connection succesful". Push OK
4. Push "OK"
ODBC Data Source administrator now hangs for 20 seconds.
I did a clean installation on a Win7 x64 machine using 32 bit ODBC Data Source administrator
Nothing to find in the eventlog.
Does anyone know what could be wrong?Udpate: I tracked it down to Microsoft ISA Firewall Client installation. If I uninstall the ISA Firewall the problem disappears.
Only disabling the ISA Firewall doesn't help!
Other have reported the same behaviour https://groups.google.com/forum/#!topic/microsoft.public.isa.clients/F14GNANHppA
Any help will be appreciated!
Thanks -
To enable delta in generic data source
Hi,
There is a generic datasource created on top of PRPS & RPSCO tables. Currently the extraction mode is 'full update'.
There is no time stamp field available in RPSCO, Please suggest how can I enable delta?Hi
Make sure at least you have Numeric pointer or time stamp field in your table to make the data source enable.
If you created view on these two tables, then in RSA6 --> open the data source --> goto edit mode.
here you will delta enable check box --> select this check and you can give the field which has to be used for delta.
If you using FM, then you have to write to code in functional module.
Regards,
Venkatesh -
Webi error as a Bex query data source
Hi All,
I am getting the below error When i try to access Bex query from Webi with OLAP connection as SSO, if it is predefined it works good, for predefined i used Service account for now.
com.businessobjects.sdk.core.server.CommunicationException$UnexpectedServerException: [[error.openSapBwBrowsingSessionFailed] 0] <<?xml version="1.0" encoding="UTF-8" standalone="yes"?><ConnectionString>
<Properties>
<Initial Catalog />
<Language>en_US</Language>
<Data Source>xyz</Data Source>
<Cube Type>Unknown</Cube Type>
<SaveLanguage>true</SaveLanguage>
<Initial Cube />
<TargetProvider>SAPNETWEAVER7X</TargetProvider>
<NetworkLayer>SAPBW_BICS</NetworkLayer>
<Authentication Mode>2</Authentication Mode>
</Properties>
<ExtendedProperties>
<JCO_ASHOST>xyz</JCO_ASHOST>
<SapLoginMode>0</SapLoginMode>
<JCO_R3NAME>bd1</JCO_R3NAME>
<JCO_CLIENT>300</JCO_CLIENT>
<JCO_SYSNR>30</JCO_SYSNR>
<JCO_LANG>EN</JCO_LANG>
</ExtendedProperties>
</ConnectionString>>
I did configured STS and SAP Authentication tab on CMC.
Please advise
Thank you!!!
krisHi Satish,
we did generated keystore and certificate , as said predefined connection works, but SSO option running into error.
we successfully configured AD SSO Kerberos , once we configure SNC, will do testing again and let you know. STS configuration steps also done.
Thanks,
Kris
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