Plant name missing in PO line item details (Delivery address tab)

Hi
We are facing issue with ECC PO migration to SRM SUS client due to missing line item delivery address field name. We have PI integration. Name exist in PO XML on ECC interface but not copied on to PO line delivery address details (ME23n)
Impact:
We have 3 way channel between SRM client --> ECC ---> to SRM SUS client.
When we create PO in SRM it flows from SRM to ECC using Purchase order request_V1 sevice request. This part works PO get replicated successfully. But when this PO is pushed to SUS client we are facing error message : "Name details missing for the partner address" found from proxy debugging. Second part of PO migration from ECC to SUS is not working due to missing plant name details in ECC
When I copy PO (with missing details) to new PO and manually enter the details, scenario works with out any issue.
Please comment.
Regards
Prashanth K Saralaya

Hi Prashant
  Did SRM--> ECC PO have address details updated properly. It seems the address did not get updated when the PO is coming from SRM to ECC and when you manually update it, it goes to SUS Perfectly.
For Delivery address , Name field is mandatory and ECC PO has to have the Name updated in Delivery Address.....
If ECC PO has Name field updated in delivery address tab, then check the XMLs between ECC and SUS whether XML has carried Name field to SUS or not
Regards
Virender Singh

Similar Messages

  • SRM 7.0 Shopping Cart Item - customizing Delivery Address Tab fields

    Hi experts,
    I have to make the fields of tab Delivery Address in the Shopping Cart (Item detail) only readable.
    In other threads I found similar questions: in SRM 7.0 I have to go in Customizing
    SAP Supplier Relationship Management -> SRM Server -> Cross Application Basic Settings -> Extensions and Field Control (Personalization) -> Configure field control
    and add fields for which I want properties to be changed.
    The problem is that at start of the SC creation the fields are blank again, they became gray only if, for example, I take an address with the match code on NAME field, that populate the other field of the tab. Or if I check the document after I've insert the address Name.
    Thank you in advance.
    Enrico Righetto

    Hello,
    Check here how the delivery address determination works:
    http://wiki.sdn.sap.com/wiki/pages/viewpage.action?pageId=230261594
    If field is made as read only when address is maintained, the best option would be to maintain a standard address number in ADDR_SHIPT attribute in PPOMA_BBP.
    Regards,
    Ricardo

  • SAP Note 1486147 - TDS line item details not flowing in Form 16 A Samrtform

    1.     Old Form 16 certificate is printed before 01.04.2010 and new certificate after 01.04.2010. (its correct SAP has written code in such a manner Old one is SAP script and new on is Smartform.)
    Old FORM 16 A gets Acknowledgement No details correctly.
    2.     Acknowledgment No details are not flowing in the NEW Smart Form of Form 16 A.
    When I debug the program I can see PARTNER No details are copied in PAN NO field in TABLE : IT_LFA11[]
    BUT PARTNER NO details are copied to PARTNERNO field  in TABLE IT_LAFA1[].
    TDS line item details on Smart Form is printed based on Partner no. here partner no. is blank as IT_LFA11 table is passed to smartform..
    Program name : J_1IEWT_CERT
    Include name : J_1IEWT_CERT_F01.
    Code:
    FORM CALL_FORM .
      DATA: h_formname TYPE tdsfname,
              h_fmname TYPE rs38l_fnam,
              h_output_info  TYPE  ssfcrescl,
              h_spoolids TYPE LINE OF ssfcrescl-spoolids,
              h_output_options TYPE ssfcompop,
               spoolno(10) TYPE c.
      DATA : it_lfa11 TYPE STANDARD TABLE OF J_1I_LFA1 INITIAL SIZE 0,
             it_printtab TYPE STANDARD TABLE OF J_1I_PRINTTAB INITIAL SIZE 0,
             it_deduc TYPE STANDARD TABLE OF J_1I_DEDUCTEE INITIAL SIZE 0,
             it_qrtrtab TYPE STANDARD TABLE OF J_1I_QRTRTAB INITIAL SIZE 0,
             it_challan TYPE STANDARD TABLE OF J_1I_CHALLANDETAB INITIAL SIZE 0.
      SORT challandetab BY j_1iextchdt DESCENDING.
      it_lfa11[] = it_lfa1[].
      it_printtab[] = printtab[].
      it_deduc[] = it_deductor[].
      it_qrtrtab[] = qrtrtab[].
      it_challan[] = challandetab[].
      h_output_options-tdnewid    = 'X'.
      h_formname = layout.
      CALL FUNCTION 'SSF_FUNCTION_MODULE_NAME'
        EXPORTING
          formname                 = h_formname
    *   VARIANT                  = ' '
    *   DIRECT_CALL              = ' '
       IMPORTING
         fm_name                  = h_fmname
    * EXCEPTIONS
    *   NO_FORM                  = 1
    *   NO_FUNCTION_MODULE       = 2
    *   OTHERS                   = 3
      IF sy-subrc <> 0.
    * MESSAGE ID SY-MSGID TYPE SY-MSGTY NUMBER SY-MSGNO
    *         WITH SY-MSGV1 SY-MSGV2 SY-MSGV3 SY-MSGV4.
      ENDIF.
      CALL FUNCTION h_fmname
    EXPORTING
    *   ARCHIVE_INDEX              =
    *   ARCHIVE_INDEX_TAB          =
    *   ARCHIVE_PARAMETERS         =
    *   CONTROL_PARAMETERS         =
    *   MAIL_APPL_OBJ              =
    *   MAIL_RECIPIENT             =
    *   MAIL_SENDER                =
       OUTPUT_OPTIONS             = h_output_options
    *   USER_SETTINGS              = 'X'
    IMPORTING
    *   DOCUMENT_OUTPUT_INFO       =
       job_output_info            =  h_output_info
    *   JOB_OUTPUT_OPTIONS         =
        TABLES
          it_lfa1                    =   it_lfa11
          it_printtab                = it_printtab
          it_deductee                = it_deduc
          it_qrtrtab                 = it_qrtrtab
          it_challandetab            = it_challan
    * EXCEPTIONS
    *   FORMATTING_ERROR           = 1
    *   INTERNAL_ERROR             = 2
    *   SEND_ERROR                 = 3
    *   USER_CANCELED              = 4
    *   OTHERS                     = 5
      IF sy-subrc = 0.                                          "1375614
        CLEAR :spoolno,h_spoolids.
        READ TABLE h_output_info-spoolids INTO h_spoolids INDEX 1.
        IF h_spoolids IS NOT INITIAL.
          spoolno  = h_spoolids.
          CONDENSE :spoolno.
          MESSAGE i155(id_wt) WITH spoolno.
          PERFORM update_cert_tables.
        ENDIF.
      ENDIF.
      IF sy-subrc <> 0.
    * MESSAGE ID SY-MSGID TYPE SY-MSGTY NUMBER SY-MSGNO
    *         WITH SY-MSGV1 SY-MSGV2 SY-MSGV3 SY-MSGV4.
      ENDIF.
    ENDFORM.     
    Can anyone Please help me to get TDS details on the Smartform.
    Regards,
    DivyaLalwani.
    Edited by: kishan P on Feb 23, 2011 1:28 PM

    Hi,
    Achnowledgement details comes in table it_qrtrtab at run time in the smartform, you can dibug the program j_1iewt_cert and smartforms J_1iewt_cert where at run time you will able to see data avaialability, If values are not available in this internal table then check related notes given by SAP, I have already implemented this note and also faced same issue but my FI consultant has given me the related note and my issue was resolved.
    Please checkout related notes and data population in the dibugger.
    Regards,
    Umang Mehta

  • Inserting a new extension field in the line item details page

    Hi!
    Is it possible to insert an extension field/collection in the line item details page of the master agreement? I have tried supplying several Field ID found on that page on the DISPLAY AFTER field of the extension, but nothing works - the new field still gets displayed at the header page.
    Thanks in advance.

    Hi,
    Line Item is an independent class. You cant add an extension to Line Item through Master Agreement. This is the reason why the extension you add appears on the header tab of Master Agreement.
    When I go to create an extension definition, I don't find Line Item in the drop down of Extended Class Name. So, my guess would be that we cannot create an extension definition for Line Items.
    Let us know if you, or anybody, has a way to achieve it.
    Thanks
    Devesh

  • PO line item details from BAPI_PO_GETDETAIL1 and append to BAPI_PO_CHANGE

    Hi,
    The requirement is to get PO line item details from BAPI_PO_GETDETAIL1 and save it in the internal table and append that internal table into  the BAPI_PO_CHANGE.
    But i am getting dump in this program.
    TABLES: ekpo.
    DATA: BEGIN OF po_details.
            INCLUDE STRUCTURE BAPIMEPOITEM. "Include the structure of Dictionary Reference.
    DATA: END OF po_details.
    DATA: BEGIN OF po_details1.
            INCLUDE STRUCTURE BAPIMEPOITEM. "Include the structure of Dictionary Reference.
    data: END OF po_details1.
    DATA: it_po_details LIKE STANDARD TABLE OF po_details,
    wa_po_details like line of it_po_details.
    data: it_po_details1 like standard table of po_details,
    wa_po_details1 like line of it_po_details1.
    PARAMETERS: p_ebeln LIKE ekpo-ebeln DEFAULT '4500000016'.
    CALL FUNCTION 'BAPI_PO_GETDETAIL1'
      EXPORTING
        PURCHASEORDER = p_ebeln
      TABLES
        POITEM        = it_po_details.
    loop at it_po_details into po_details.
      read table it_po_details into wa_po_details with key PO_item = p_ebeln.
      move-corresponding po_details to po_details1.
      CALL FUNCTION 'BAPI_PO_CHANGE'
        EXPORTING
          PURCHASEORDER = p_ebeln
        TABLES
          POITEM        = it_po_details.
      append po_details to it_po_details1.
      LOOP AT it_po_details1 INTO wa_po_details1.
        WRITE:/ wa_po_details1-PO_item,
           wa_po_details1-MATERIAL,
           wa_po_details1-SHORT_TEXT,
           wa_po_details1-PLANT.
      ENDLOOP.
    endloop.

    HI,
    1st you check for the following following  authorization objects are checked:                                                                               
    M_BEST_BSA (document type in PO)                                                                               
    M_BEST_EKG (purchasing group in PO)                                                                               
    M_BEST_EKO (purchasing organization in PO)                                                                               
    M_BEST_WRK (plant in PO)          
    and to change the PO below is the eg for changing the short text:-
    TABLES: ekpo.
    DATA: BEGIN OF po_details.
            INCLUDE STRUCTURE bapimepoitem. "Include the structure of Dictionary Reference.
    DATA: END OF po_details.
    DATA: BEGIN OF po_details1.
            INCLUDE STRUCTURE bapimepoitem. "Include the structure of Dictionary Reference.
    DATA: END OF po_details1.
    DATA: it_po_details LIKE STANDARD TABLE OF po_details,
    wa_po_details LIKE LINE OF it_po_details.
    DATA: it_po_details1 LIKE STANDARD TABLE OF po_details,
    wa_po_details1 LIKE LINE OF it_po_details1,
    poheader  LIKE  bapimepoheader,
    return  LIKE STANDARD TABLE OF  bapiret2 WITH HEADER LINE,
    poitemx LIKE STANDARD TABLE OF  bapimepoitemx WITH HEADER LINE.
    PARAMETERS: p_ebeln LIKE ekpo-ebeln DEFAULT '5600010646'.
    CALL FUNCTION 'BAPI_PO_GETDETAIL1'
      EXPORTING
        purchaseorder = p_ebeln
      IMPORTING
        poheader      = poheader
      TABLES
        poitem        = it_po_details.
    LOOP AT it_po_details INTO po_details.
      READ TABLE it_po_details INTO wa_po_details INDEX 1.
      MOVE-CORRESPONDING po_details TO po_details1.
      MOVE: po_details-po_item TO poitemx-po_item,
            'X' TO poitemx-short_text.
      APPEND poitemx.
      CALL FUNCTION 'BAPI_PO_CHANGE'
        EXPORTING
          purchaseorder = p_ebeln
          poheader      = poheader
        TABLES
          return        = return[]
          poitem        = it_po_details[]
          poitemx     =
          poitemx[].
      CALL FUNCTION 'BAPI_TRANSACTION_COMMIT'.
      APPEND po_details TO it_po_details1.
      LOOP AT it_po_details1 INTO wa_po_details1.
        WRITE:/ wa_po_details1-po_item,
        wa_po_details1-material,
        wa_po_details1-short_text,
        wa_po_details1-plant.
      ENDLOOP.
    ENDLOOP.

  • Enabling Line-item Details

    HI Folks
    I am trying to test the feature called Line Item details. At the moment all accounts have this set to No. I ttried to change this on an existing accounrt to Y and load but I got an error message saying refrential integrity. I then tried to create a new account and uploaded this. It loaded burt when I went to a data grid and rightclicked there was no option for line items so I thought I might be missing something.
    I looked in my admin guide and there is another section in the metadata on the scenario which has the same attribute so I changed this to a Y but again when I try to reload I get the Refrential integrity error.
    Has anyone tried to set this up before particulary on existing accounts. Does the scenario also need this enabled or does that attribute refer ro something else. I havent used this featurre before but looks like it might be useful. Any help/advice is most appreciated
    Thanks
    Tahir

    The referential Integrity check come because you may have some data in the existing account as well. As this account did not support Line Item Details previously. So what you need to do is while loading metadata you check clear all metadata before loading. This might help you.
    Yes this needs to be enabled for the scenario in the metadata.
    Hope this is helpful
    Varun

  • Customer/Vendor A/C with line item details and with opening and closing Bal

    Dear Sir / Madam,
    Is it possible to have a customer and / or vendor Sub-Ledger account-
    with line item details and with opening and closing balance detail
    for a particular period.?
    Regards
    Chirag Shah
    I thank for the given below thread which has solved the same problem for G/L Account
    Re: Report to get the ledger printout with opening balances

    Hello Srinujalleda,
    Thanks for your precious time.
    I tried the referred T-Code
    But this report is not showing Opening balance, closing balance detail.
    It only gives transactions during the specified posting period and total of it.
    Please guide me further in case if I need to give proper input at selection screen or elsewhere.
    Client Requires Report in a fashion
    Opening Balance as on Date
    + / -  Transactions during the period
    = Closing Balance as on date
    As that of appearing for G/L Account by S_ALR_87012311
    Thanks once again & Regards
    Chirag Shah

  • Work Order to cost center settlement with line item detail

    Iu2019m having difficulty finding a method to settle from a work order to a cost center with line item detail.  When an order is settled with KO88 or KO8G the total value for that work order/cost element combination is combined and posted to the cost center as a lump sum with the description of CTR\######.  Users would like to see the individual values that posted to the work order in a cost center report such as  KSB1.
    I donu2019t see anything in the settlement rule, settlement profile or allocation structure that will allow line item settlement from work order to cost center.     Is line item settlement possible when settling to a cost center?   Is there an alternate way to see these expenses as line items in KSB1?
    Thanks,
    Jeff

    Thanks Christian,
    We've defined an allocation structure that we use for Project System and Work Order settlement and have Receiver Categories established as FXA, CTR and WBS with "by Cost Element"  checked.  Work order costs do settle to the cost center entered in the settlement rule, the problem is it combines all items values as a single amount when posting to the cost center.
    For example:  
    expenses post to the work order under cost element 500000 for $500, $200, $300 and cost element 600000 for $250 and $250.  The settlement rule says to settle to cost center 170000.  When the settlement takes place cost center 170000 is debited $1000 to cost element 500000 and $500 to cost element 600000.  We would prefer to see individual posting of $500, $200, $300 to 500000  and $250, $250 to 600000.
    Thanks,
    Jeff

  • Schedule Line Item 100001 delivery date is missing

    Hello Sirs,
    After created a sales order in ECC and transferred to TM via XI, the queue remains with STOP status. Entering in transaction /SAPPO/PPO2 I’m facing the error “Schedule Line Item 100001 delivery date is missing”. The delivery date is filled in ECC side.
    Is there something that I need to check in TM regarding delivery date?
    Thanks.

    Please try to edit the PO[Change date] and process it again. This issue happens when we use a conversion program to create PO instead of creating it from UI.

  • Exit / badi for individual service line item detail with internal orders.

    Hello guys,
    <b>Issue 1.</b>as per our scenario we want to get the individual service line item details with Internal Orders.
    Please provide me any exit/badi with each item level with individual service line item Internal Orders.
    <b>Issue 2:</b> Remain same for issue 3 for blocking status. We want to delete item level for particular line what about the service rows which assigned in particular item.
    point will be rewarded for the suitabel answers.
    please give me response  ASAP.
    With Regards
    yogesh

    Hey Yogesh,
    I have the same scenario... Could you please drop a mail to [email protected] with the details of BADI and other details that you implemted for the same.
    Thanks a lot in advance.

  • Report Painter - Totals are different on face of report & line item details

    Hello,
    We have a report designed in report painter. Thye lIbrary table is GLPCT.
    When we run the report system gives e.g. 100 $ on face of report. However when we double click on that line to get a line item details reoprt the value is different. It is either less or more than the amount diaplayed on initial report.
    Please can you suggest what coule be the probable reason for this anamoly.
    Thaks & Regards
    Shreenath

    Hi Sreenath,
    when you double-click on a line you are jumping to another report.
    The report you are jumping to has either been defined as a linked report by you, or it has been copied from an original SAP-report if you started the creation of your report by copying a standard SAP report.
    The sending report tries to pass on all the selections for the cell you double-click to the line-item report. For standard SAP reports it is guaranteed that this should work and the line item report gives the sames results as the report you are calling it from.
    For self-defined reports, this may not always work. I have had problems especially when calling line-item reports from sum-lines of my self-defined report. The reason was that the selections could not be passed on properly.
    Example:
    line 1: selection on account X and profit center A
    line 2: selection on account Y and profit center B
    line 3: sum of line 1 and line 2
    Now, when I double-click on a cell of line 3 and jump to line items, it passes on the selection idependently, i.e.
    accounts: X, Y
    profit center: A, B
    the line item report now gives me all values for all combinations of accounts X and Y and profit centers A and B.
    It does not take into account the combined selections in my original report.

  • Copying g/l balance and line items details

    What is the best way to copy  account balance and the line item details from one G/L account to another one.
    Thanks

    Hi
    The best way to upload GL open items and GL balance is via FB01.
    Good Luck
    Hari

  • Create a report same as KSB1 and add WBS line item details in the output

    Hello Everyone,
    I need to create a report exactly like KSB1 which should have a selection screen exactly like KSB1 but it should also display the WBS line item details from CJI3.
    What is the right way of doing it? Please advice.
    COEP is pretty huge in Production, and we need to fetch data by a specific date in selection screen or a cost center group. This can take a long time to fetch data from the table based on selection screen input. Are there function modules or do we need to use some other tables to fetch data same as COEP?
    Thanks for all your help.
    Regards,
    Shipra.
    Moderator message - Cross post locked
    Edited by: Rob Burbank on May 28, 2009 10:54 AM

    Hai ,
             Please go throuth the note  325546  , u need to implement the customer exit  COOMEP01 .
    regards,
    K.Vinay kumar

  • Customize Line Items Details Loading for Multiload TEXT-Based

    Hi all,
    has anybody customized HFM adapter to enable line item details loading for Text-based multiload files?
    Is it possible?
    Thanks

    But then we wouldn't have one text multiload file but several text files that will be converted into several .dat files to be loaded into HFM.
    Our current problem is that we have a multiload text file (we can convert from the Multiload Excel) but this file contains line item details. We want to keep the performance of loading only one .Dat file, but also load line item details.
    What about if the user split the multiload files into two:
    * Excel Multiload just with Line Item accounts (there are not so much)
    * Text Multiload for standard accounts
    This would be a nice solution as well? If they are happy....
    Thanks

  • Prevent user from view line item details in KSB1 report

    Hi,
    how to restricting user from view line item details by double-click on it or highlight an item click on Document?
    Regards,
    Kelvin

    Hi,
    This issue got resolved.
    SAP suggested to execute the program "FAGL_CORR_0001" for company code wise.
    In ECC 5.00 from support pack 10 onwards two new fields has been added to table FAGLFLEXA.  (earlier we are on support pack 9, recently we applied the latest support pack)
    If we can execute the above program FAGL_CORR_0001, the two new fields will filled with relevant data and then we can able to use drill down option.
    This is for your information.
    Message was edited by:
            prasad naga

Maybe you are looking for

  • NAC SSO in Windows 7 not Working

    Hello, I'm having problems with SSO process on workstations with Windows 7 and I need help to solve it. ENVIRONMENT: Clean Access Manager: 4.9.0 Clean Access Server: 4.9.0 Clean Access Agent: 4.9.0.33 Compliance Module: 3.4.27.1 Windows Domain : Wind

  • Source Monitor and Program Monitor not playing back video

    The last time I used Premiere Pro CC was Oct 8 and the program worked fine. As of today, I reopened the project file and the source and program monitors are displaying nothing respectively. However, the audio playback for both are unaffected. I've tr

  • Database adapter string size limit of 32766

    We have a database subscribing adapter that writes to a table. The table has a couple of CLOB columns. When the data in one of these columns is too large, the adapter logs the following error: **Error: db_bridge_writer_1 could not write the message t

  • Problem while extracting using RSCRM_BAPI in user defined job

    Hi all, Of late I have trying to executing Bex query extract thru RSCRM_BAPI and needed a way to be able to schedule an user defined job so for that so that I have control in terms of when I execute the job. I went thru SDN and found this Function mo

  • The volume buttons on my wired keyboard aren't working properly

    I just bought an Apple keyboard, it is just like the one that come with my iMac a few years ago, and just like the one I had to replace that one with a few years after that. For some reason, when I select the volume up button, I get the widgets and v