Open vendor line item conversion

i have to upload "AP-open vendor line item data"  through LSMW
Tcode:  FB01
is their any direct function module /BAPI available?
Thanks & Regards.
Avijit Khajanchi.

We have LSMW   Direct Input method
Object               0100   Financial documents
Method               0000
Program Name         RFBIBL00
Program Type         D   Direct Input

Similar Messages

  • Vendor Line item with Opening and Closing Balances report regarding

    Dear All,
    I need a report for vendor line items with Opening and Closing balances.
    Thanks in advance
    Sateesh

    Hi
    Try S_ALR_87012082 - Vendor Balances in Local Currency
    Regards
    Sanil Bhandari

  • How to calculate open balance Vendor Line Item Display(FBL1N)..?

    hi,
    is there any way to fetch data for open balnce in vendor report display(FI).
    As I have to calculate Credit , Debit and Open balace , also Balance  as on date. in Zreport with reff of FBL1N.
    Vendor item data has been calculated from BSIk table. also  open balance has to be fetched from with reference of Clearing doct and posting doct. i have
    so if any FI technical or non techincal person has gone thru these things, those who have clear picture on these plese let me know.
    Thnks in advance.

    Please note that most vendor line items wont have a PC assigned to them.
    I am not sure if you are refering to classic view or new GL data.
    Anyway you can use the sum button, and sub total for your levels.
    If you want to get the information sub totalled by PC, then I guess you are using the new GL and document splitting.
    If that is the case you cannot use FBL1N for this.
    There is however a set of reports in Accounts Payable, called new Gl reports and they will provide you the general ledger view and not the entry level view, and you can use the sum and sub total option.
    Please award points if this is useful.
    Come back if you need further help.

  • Vendor Line Items

    Is there any std BAPI or FM to get Vendor Line Items?
    Is there any database Table which shows all  Vendor line items (open and cleared)?
    Note : table BSIK shows only open line items.
    Thanks in advance. Points will be rewarded.

    hi Nikhil,
    yes, open items are in BSIK, cleared items are in BSAK. There is no table where you can find both! Acc. to my knowledge, there is no FM or BAPI to give back the information you need. You have to select from the tables. In fact you can find all items in BSEG (together with debitor and G/L items), but selecting from that table can take ages...)
    hope this helps
    ec

  • Check number not getting updated in vendor line items

    Hi
    I am giving check to vendor. Hence i am assigning manual checks in FCH5. Then i did FCHU. After i did FCHU, my check number got updated in assignment field in bank line item. But i am getting problem for vendor line item.
    My vendor line item is not updated with check number. Hence i am unable to see what check number is issued against which payment document. I do not want to go in each every document and then click on environment and check information.
    I tried with check register also, but i am not getting vendor wise bank details smoothly.
    So i want to know how can i get check number in FBL1N vendor-wise. Is there any standard report?

    You should activate the PAYR-CHECF in FBL1N report. Execute FBL1N report for a vendor and go to Menu->Settings-> Special Fields. A new screen would open. There add the table PAYR and field CHECF. Save and exit out. Now the check number should be displayed in FBL1N report.
    Thanks,
    SD.

  • Regarding FBL1N(vendor line items)

    hi experts ,
    I have to display the opening balance(balance carried forward) with vendor line items ,I found the table n field name but don't know how to display in header or in <b>ALV</b> list.
    table name is <b>LFC1-UMSAV</b>.
    ldb is <b>KDF</b>.
    hope u understood the problem if no the pl ask for more clearification.
    thanks & rgds
    Abaper

    Hi,
    do it in line item:
    instead of belnr -  give out 'op.balance'  and
    instead of bsik-wrbtr - lfc1-umsav in your alv-table
    A.
    Message was edited by:
            Andreas Mann

  • Segregation of Vendor line items

    Dear SAP gurus ,
    I have the following requirement.I wants to segregate vendor line items into
    Opening           Purchases             Payments.
    Balances.
    I know how to segregate purchases and payments in my development report.
    But i want to know how i will get Opening balances as per the given period.
    Regards,
    Gopi.

    Hi,
    While executing the FBL1N, select the "Selection Variant" button the give the the period from which the report has to display. Here in selection variant you can include and exclude the values as per the requirement.
    Assign Points if it useful
    Regards
    Ravindra

  • Iterating through bseg line items and picking the vendor line item

    Hello,
    I am creating a report in which i want to show the list of vendors (with their WHT's). The output will be based on selection of a certain period(range). I guess i have to first iterate through BKPF and get those documents that lie in the given range, then i 'll have to iterate through the selected documents in BSEG and pick out the vendor line items (KOART = 'S'). Will i be using GET for this..
    Is this the right way? secondly, if yes, can sumone show me how to iterate through BKPF and BSEG and get vendor details.?
    Thanks..
    SHehryar

    Hey,
    Instead of selecting data from BKPF-BSEG you could use BKPF-BSIK-BSAK.
    BSIK and BSAK have the same details as BSEG and are use by SAP for reporting purposes.
    Similarly for customer the table are BSID, BSAD and for GL the tables are BSIS and BSAS.
    BSIK will have the open items and BSAK will have the cleared items.
    -Kiran

  • Missmatch vendor line items and vendor clearing

    Hello all,
    Im faced with a strange issue that i need some help on.
    The transaction F-44 is very common in problems mainly due to wrong selection criteria but in this case the problem goes behond that.
    I have a vendor with a total balance in its line items (FBL1N). - Example: 1.000u20AC
    The line items has, in the vendor line, a base amount and tax amount showing the following
    Base amount: 1.000
    Tax: 200
    The document generate a amount of 200 in the VAT GL account correctly.
    The vendor line items shows me a total of 1.000u20AC but when i try to clear the open items i get a strange value of 1.200 showned.
    Its like the total Base + Tax is being carried in for the clearing transaction.
    I just need to compensate for the vendor balance it shows different value causing a missmatch in the totals corresponding to the amount of Tax I have in each line item.
    Im using a special GL indicator because its an Asset Supplier.
    Any idea what can this be related to?
    Have you ever had a vendor balance showing one amount and when you try to clear it it shows another one?
    Any help is highly appreciated.
    Glytch

    Hi Filipe,
    I am having same problem as you.
    Have you got the answer for this issue?
    Can you share with me?
    Thanks in advance.

  • Copy Trading Partner to Asset line items from Vendor line items in F-90

    Dear Friends,
    I want to copy trading partner field from Vendor line item to other line items like Asset and Tax in T.code - F-90
    Client want to use Transaction type - 100
    Is it feasible?
    Thanks in advance

    try:
    1) substitution - tcode OBBH
    or
    2) open FI - menu FIBF tcode BF44
        - event 1120 or 1130
    A.

  • Vendor Line Item by Profit Center

    Dear All
    We are trying to make a report for Vendor line items by profit center (Based on General Ledger view). There is standard report available in New GL in General Ledger Information System>Line Item>Open Items Payable by Profit Center. But in this report we need some other fields which are not available like due date etc
    This report is developed through Drill Down form based report (T.Code FGI4 for Form and FGI1 for Report). There is a standard form type available for creating the form and subsequently report. Wecheck the FAGLPOS_APPRE and all the fields which we need are available in this structure  but how to add these fields in the form type.
    If there is any other way to get the vendor line item by profit center (General Ledger View) then please let us know.

    If you are trying to view such a report through transaction code FBL1N, then I would suggest you follow the solution described in this thread below:
    Re: Add field Net Due Date at the selection field in FBL1N t.code
    Also to view profit center wise, use the dynamic selections in FBL1N to select profit center.
    Regards,
    Elias

  • Vendor line item report in New GL

    Hi
    We have activated New GL. We need vendor line item report based on GL view. FBL1n provides report based on entry view. But we need simillar to FBL1n based on GL view. There is a standard report S_AC0_52000888 which provides vendor line item doucment wise with New GL characteristics such as profit center. However, this report does not provide additional information such as posting date, due date et.c which is available in FBL1n. Hence, we are unable to monitor vendor accounts at profit center level.
    Can anyone suggest how to add additional fields in the above report or any other report available for the same.
    Thanks
    S.Radhakrishnan

    hI
    Thanks for the reply.
    As per your suggestion, we need to bring GL view parameters from FAGL* tables. I need clarification here:
    1. In our case, single line item in BSIK may correspond to multiple profit centers and hence multiple line items in FAGL* tables.
    2. Users run the report for multiple vendors ( beig range) with their profit centers as selection criteria.
    3. In the above case, we need to select all the line items for that vendor and go to FAGLFLEXA and select all line items and delete all line items not pertaining to the profit center entered as selection.
    4. The above process would be time consuming since all the open items will be selected and then delete all those items which are not required.
    5. Else, can we select the items from FAGLFLEXA directly for the profit centers entered and bring additional information from BSIK table. Since vendor accounts are not there in FAGLFLEXA, it would be cumbersome and time consuming.
    6. Which of the above approach would you recommend.
    7. Is it possible to modify the ACO report so that we can add additional information such as posting date, due date etc.
    Regards
    S.Radhakrishnan

  • Vendor line item display with internal order

    In Vendor line item display is it possibe to see details of the line item of offsetting account .
    For example a expense account is debited & vendor account is credited .At the time expense account debit a internal order has been assigned in line item.
    User wants to see the vendor line item display ( T code FBL1N) with details of internal order appearing in open  line items display  etc .
    Is this possible .I created a layout with order as a field but order does not show any values in the line display of vendor.
    Please revert back if this can be possibe.
    Thanks
    Manoj

    with a combination of notes
    112312 - Line item - Display of offsetting ac information
    373268 - Line item - new display field
    569939 - Line item - Open FI - Absolute amounts
    1034354 - FAGLL03 - Display of offsetting account information
    you should be able to get it there.

  • FI Archiving - System error: Customer/vendor line item not on OI basis

    While archiving FI Documetns using object FI_Documnt, I am getting message System error: Customer/vendor line item not on OI basis for few non archivable documents. Is it like these also open items and can not be able to archive them. Or what is the root cause of these error message.
    Regards,
    Shailesh

    Hi Adisha,
    This error pertains to the accounting fundamentals and SAP does not have anything to do with this....you ask yourself that if you were not using SAP and simlar problem came your way what would you have done...this has no solution...
    Either you wait for the next invoice with big amount but which seems bit impractical..
    In this we really need to consult the Accounting Standards to see what it could allow.
    Regards,
    Chintan Joshi

  • Report for Vendor line item with GL line item text

    Hello SDN,
    We need to add the GL Line item text to a vendor line item report. I don't think adding a GL field is available option in the FBL1N report. Is there a way to display the Vendor name, Vendor number, Open amount and the GL line item text in a report without ABAP invovlement?
    I would really appreciate your help. Thank you.
    Edited by: nsap_fico on Aug 10, 2011 6:29 PM

    Some alternative is in KSB1 (Cost center line item report) - you can change the layout and include offsetting account and its text.
    But, in vendor line item report, if you want vendor number, vendor number, GL account number (offsetting) account and its text, then you should go with abap development.
    Have a look at the following note, if really serves your purpose.
    Note 1504612 - Line items: Offsetting account info (BAdI FI_ITEMS_CH_DATA)

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