Pls help out me to create a report for entry tax
hi all,
pls help out me to create a report for entry tax.
and give some logic how i can do this.
thanks and regards
vikas
SELECT < Columns>
from pay_payroll_actions ppa,
pay_all_payrolls_f papf,
per_time_periods ptp
where papf.payroll_id = ppa.payroll_id
and ppa.effective_date between papf.effective_start_date and papf.effective_end_date
and ppa.action_type IN ('Q','R')
and ptp.payroll_id = papf.payroll_id
and papf.payroll_name = :pPayrollName
and ppa.date_earned BETWEEN ptp.start_date AND ptp.end_date
and :pDate BETWEEN ptp.start_date AND ptp.end_date
Pass Any Date and Payroll Name. The query should list down all payroll runs in the period in which the date falls.
Similar Messages
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Hii all, how can we create a report for purchase tax register
Purchase Tax Register 2:
Fields on selection screen (input screen) : Vendor Code from to , Date from to, Material Type from to, Tax Code from to .
Field in the output List : Document Number , PO Number ,PO Date , Vendor Code ,Vendor Name , Bill Number , Bill Date , Material Code , Material Description , Qty ,Unit , Basic Value , BED , CESS , Tax Code, Total Tax Amount ( BED + CESS ) amount , LST or CST Amount , Gross Amount.Hi Umesh,
Use The Following Tables
EKBE History per Purchasing Document,
EBAN Purchase Requisition,
EKKO Purchasing Document Header,
LFA1 Vendor Master (General Section),
KONV Conditions (Transaction Data),
Konv Is Cluster Table U have To Write Seperate Select query for that Using KNUMV Field form ekbe, eban, ekko
Reward Points If Usefull,
THanks & regards.
Shiva -
Hi Shanky , pls help out regading Profiler Trace issue ?
Hi Shanky,
Pls help out . Regadng Profiler Trace .
Thanks
Vijayselect id,path,status from sys.tarces
which is given o/p for path "NULL" value
The NULL path indicates a rowset (Profiler) trace rather than a server-side trace. The status 1 means the trace is currently running. You can run sp_who2 to identify the host(s) running the trace. The Program Name will start with "SQL Server
Profiler".
Note that traces are at the server-level rather than the database level from SQL Server perspective. Each trace may contain filters so that only events for specific databases are included.
Dan Guzman, SQL Server MVP, http://www.dbdelta.com -
How to create a report for open sales orde documents which are not invoiced
Hi Experts this is urgent,
+pls give the Logic for document flow+
My requirement is create a report for sales orders which are not invoiced using the following table.
VBAK : sales order header
VBAP : sales order item
VBFA : sales document flow
VBUK for processing status
KOMV for duties value and sales order value
LIKP : delivery not header
LIPS :delivery note item
For information : In the header level the processing Status is indicated in the table VBUK field LFSTK for one sales order number. A,B , C are the possible entries.
Case A : When a sales order is invoiced we can display information on the header status :
Overall status : Completed and display a invoice number in the document flow. When the items of the sales orders are invoiced the process status is the following : Overall status Completed
Delivery status Fully delivered
Case B : An open sales order not delivered and not invoiced will have overall status : Open on the header and item level and will not have subsequent documents.
Case C :
When the items for the sales order are delivered but not invoiced the status will be u201Cfully deliveredu201D
And the subsequent documents will be delivery notes and good issue if the delivery note is issued.
With regards
ravi
Edited by: ravik ravik on Jun 25, 2008 3:29 PMHello Ravi,
U neednot develop any report..
there is std report with txn V.02
or copy this and make necessary changes.
Reward, if helpful.
Rgds,
Raghu. -
Is it possib to create inline report for a cube if wedon't have any measure
Hi,
Is it Possible to create an Inline report based on an application Rowsource even when we do not have any measure associated to that Rowsource in the current cube?
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Can someone pls Help me: How to create a Fake target table(Dummy) in DAC
Hi There,
Can someone pls Help me in creating a Fake target table(Dummy) in DAC?
Thanks,
RaghuRaghu
You need to create a task so that you can hook sources and targets together.
First, Design --> Tables tab --> New --> Below 'Edit' -->Table Type (Source) for your source tables.
Design --> Tables tab --> New --> Below 'Edit' -->Check warehouse and Table Type (Fact or Fact Temporary) for your target tables.
Points if helpful
Kris -
Urgent help! trying to create basic report with prompt.
Hi,
I'm trying to create a report which allows a user to select a item_id value (using either a LOV or manually entering a text_id) and then too display output.
for some reason apex does not like the '&' prompt, in the SQL.
Any help or suggestions, would be great? this is quite straightforward so it must be something I'm doing wrong!
sql statement below:
select i.item_id, i.title, d.date_logged, d.details
from tracking_issues i, tracking_details d
where i.item_id=&item_id
and i.item_id=d.item_idSmiley,
Apex is building a JSP, so instead of you running the page and it poping up a input box that you might be familar with if you run your sql in TOAD or SQL Nav it is waiting on your input(text box/LOV) to populate the item_id field. You need to build your LOV on something like select item_id d, item_id r from items and then once you select that item in the LOV the page will(should - based on how your branch is set up) to the page you are on and your report is displayed.
Also make sure in your branch you are setting the LOV item name to the value you select for it in the branch since the page needs re-submit.
Your select statement for your report should look like:
select item_id, title
from tracking_issues
where item_id=:p1_LOV
--where p1_lov is the name of your LOV
-David -
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 -
How to Created custom report for Ship not Billed (SD/FI)?
Hi all,
I am anticipating to write some abap reports..Here is one of them..
Anyone can help me with writing a Report , how to do 'Custom Report for shipped not Billed(SD/FI)' ..But since I am new to Abap , if you wish to reply, please use a little more detail and simple explanation, step by step so I can understand what is the idea, how it can be acheived...what kind of report should be used , techniques, tables etc...:)
Appreciate your help!
Regards,
BobyHi Boby,
You need to create custom transaction to achive these results.
you will have selection-screen ,it would be :
Date : Here date would be mandatory - Ranges Option
Customer - Optional field - Ranges
Order # Sales Order (Optional) Ranges
Invoice # - Invoice # (Optional) Ranges
You will get the data based on ur selection-screen criteria ...
First you will have customer order details from diffrent table
VBAK,
VBAP,
LIKP
LIPS
VBRK,
VBRP
KNA1,
VBFA Tables ( See the my sample program )
Output would be :
Customer # Custome Name Order # Delivery # Invoice # Netpr, Netquantity ,
Check the condition whether invoice table has VBRK-RFBSK = ''.
See the my sample program : This is sales report by monthly..
REPORT ZFDSALES_REPORT no standard page heading
message-id zwave.
Data Declaration Part
TYPE-POOLS
type-pools : slis.
Tables
tables : VBAK,
VBAP.
Internal table for VBAK Table
data : begin of i_vbak occurs 0,
vbeln like vbak-vbeln,
bstnk like vbak-bstnk,
vdatu like vbak-vdatu,
end of i_vbak.
Internal table for VBAP and MATNR
data : begin of i_vbap occurs 0,
vbeln like vbap-vbeln,
matnr like vbap-matnr,
kdmat like vbap-kdmat,
kwmeng like vbap-kwmeng,
netpr like vbap-netpr,
maktx like makt-maktx,
end of i_vbap.
Internal tables
data : begin of i_sales occurs 0,
vdatu like vbak-vdatu,
bstnk like vbak-bstnk,
matnr like vbap-matnr,
maktx like makt-maktx,
kdmat like vbap-kdmat,
kwmeng like vbap-kwmeng,
netpr like vbap-netpr,
end of i_sales.
Variable for ALV
data : v_repid like sy-repid,
gt_fieldcat type slis_t_fieldcat_alv.
Selection-screen
selection-screen : begin of block blk with frame title text-001.
select-options : s_vbeln for vbak-vbeln,
s_erdat for vbak-erdat,
s_ernam for vbak-ernam,
s_vdatu for vbak-vdatu obligatory,
s_BSTNK for vbak-BSTNK,
s_KUNNR for vbak-kunnr,
s_matnr for vbap-matnr,
s_KDMAT for vbap-KDMAT.
selection-screen : end of block blk.
Initilization
initialization.
v_repid = sy-repid.
S T A R T - O F - S E L E C T I O N ****************
start-of-selection.
Get the data from VBAK and VBAP Tables
perform get_vbak_vbap.
E N D - O F - S E L E C T I O N *****************
end-of-selection.
Display the data
perform dispolay_data.
*& Form get_vbak_vbap
Get the data from VBAK and VBAP Table
FORM get_vbak_vbap.
Get the data from VBAK Table
select vbeln bstnk vdatu from vbak into table i_vbak
where vbeln in s_vbeln
and bstnk in s_bstnk
and vdatu in s_vdatu
and kunnr in s_kunnr
and erdat in s_erdat
and ernam in s_ernam.
if sy-subrc ne 0.
message e000(zwave) with 'No data found for given selection'.
endif.
Get the data from VBAP Table
select avbeln amatnr akdmat akwmeng a~netpr
b~maktx into table i_vbap
from vbap as a inner join makt as b on bmatnr = amatnr
for all entries in i_vbak
where a~vbeln in s_vbeln
and a~kdmat in s_kdmat
and a~abgru = space
and a~matnr in s_matnr
and a~matnr ne '000000000000009999'
and a~matnr ne '000000000000004444'
and a~matnr ne '000000000000008888'
and a~matnr ne '000000000000001111'
and a~werks = '1000'
and b~spras = 'E'
and a~vbeln = i_vbak-vbeln.
if sy-subrc ne 0.
message e000(zwave) with 'No data found for given selection'.
endif.
sort i_vbak by vbeln.
sort i_vbap by vbeln matnr.
loop at i_vbap.
read table i_vbak with key vbeln = i_vbap-vbeln
binary search.
if sy-subrc eq 0.
i_sales-bstnk = i_vbak-bstnk.
i_sales-vdatu = i_vbak-vdatu.
i_sales-matnr = i_vbap-matnr.
i_sales-kdmat = i_vbap-kdmat.
i_sales-maktx = i_vbap-maktx.
i_sales-netpr = i_vbap-netpr.
i_sales-kwmeng = i_vbap-kwmeng.
append i_sales.
else.
continue.
endif.
clear : i_sales,
i_vbap,
i_vbak.
endloop.
sort i_sales by vdatu bstnk matnr.
refresh : i_vbap,
i_vbak.
ENDFORM. " get_vbak_vbap
*& Form dispolay_data
Display the data
FORM dispolay_data.
Fill the Fiedlcat
PERFORM fieldcat_init using gt_fieldcat[].
CALL FUNCTION 'REUSE_ALV_GRID_DISPLAY'
EXPORTING
I_INTERFACE_CHECK = ' '
I_BYPASSING_BUFFER =
I_BUFFER_ACTIVE = ' '
I_CALLBACK_PROGRAM = v_repid
I_CALLBACK_PF_STATUS_SET = ' '
I_CALLBACK_USER_COMMAND = ' '
I_CALLBACK_TOP_OF_PAGE = ' '
I_CALLBACK_HTML_TOP_OF_PAGE = ' '
I_CALLBACK_HTML_END_OF_LIST = ' '
I_STRUCTURE_NAME =
I_BACKGROUND_ID = ' '
I_GRID_TITLE =
I_GRID_SETTINGS =
IS_LAYOUT =
IT_FIELDCAT = gt_fieldcat[]
IT_EXCLUDING =
IT_SPECIAL_GROUPS =
IT_SORT =
IT_FILTER =
IS_SEL_HIDE =
I_DEFAULT = 'X'
I_SAVE = ' '
IS_VARIANT =
IT_EVENTS =
IT_EVENT_EXIT =
IS_PRINT =
IS_REPREP_ID =
I_SCREEN_START_COLUMN = 0
I_SCREEN_START_LINE = 0
I_SCREEN_END_COLUMN = 0
I_SCREEN_END_LINE = 0
IT_ALV_GRAPHICS =
IT_ADD_FIELDCAT =
IT_HYPERLINK =
I_HTML_HEIGHT_TOP =
I_HTML_HEIGHT_END =
IT_EXCEPT_QINFO =
IMPORTING
E_EXIT_CAUSED_BY_CALLER =
ES_EXIT_CAUSED_BY_USER =
TABLES
T_OUTTAB = i_sales
EXCEPTIONS
PROGRAM_ERROR = 1
OTHERS = 2
ENDFORM. " dispolay_data
*& Form fieldcat_init
text
-->P_GT_FIELDCAT[] text
FORM fieldcat_init USING e01_lt_fieldcat type slis_t_fieldcat_alv.
DATA: LS_FIELDCAT TYPE SLIS_FIELDCAT_ALV.
Delivery Date
CLEAR LS_FIELDCAT.
LS_FIELDCAT-FIELDNAME = 'VDATU'.
LS_FIELDCAT-OUTPUTLEN = 12.
LS_FIELDCAT-TABNAME = 'I_SALES'.
ls_fieldcat-seltext_L = 'Delivery Date'.
APPEND LS_FIELDCAT TO E01_LT_FIELDCAT.
Purchase Order #Material Description
CLEAR LS_FIELDCAT.
LS_FIELDCAT-FIELDNAME = 'BSTNK'.
LS_FIELDCAT-OUTPUTLEN = 25.
LS_FIELDCAT-TABNAME = 'I_SALES'.
ls_fieldcat-seltext_L = 'Purchase Order #'.
APPEND LS_FIELDCAT TO E01_LT_FIELDCAT.
Material
CLEAR LS_FIELDCAT.
LS_FIELDCAT-REF_FIELDNAME = 'MATNR'.
LS_FIELDCAT-REF_TABNAME = 'MARA'.
LS_FIELDCAT-FIELDNAME = 'MATNR'.
LS_FIELDCAT-TABNAME = 'I_SALES'.
ls_fieldcat-seltext_L = 'Material #'.
ls_fieldcat-seltext_M = 'Material #'.
ls_fieldcat-seltext_S = 'Material #'.
APPEND LS_FIELDCAT TO E01_LT_FIELDCAT.
Material Description
CLEAR LS_FIELDCAT.
LS_FIELDCAT-FIELDNAME = 'MAKTX'.
LS_FIELDCAT-OUTPUTLEN = 40.
LS_FIELDCAT-TABNAME = 'I_SALES'.
ls_fieldcat-seltext_L = 'Material Description'.
APPEND LS_FIELDCAT TO E01_LT_FIELDCAT.
Customer Material #
CLEAR LS_FIELDCAT.
LS_FIELDCAT-FIELDNAME = 'KDMAT'.
LS_FIELDCAT-OUTPUTLEN = 35.
LS_FIELDCAT-TABNAME = 'I_SALES'.
ls_fieldcat-seltext_L = 'Customer material no.'.
APPEND LS_FIELDCAT TO E01_LT_FIELDCAT.
Quantity
CLEAR LS_FIELDCAT.
LS_FIELDCAT-FIELDNAME = 'KWMENG'.
LS_FIELDCAT-OUTPUTLEN = 15.
LS_FIELDCAT-TABNAME = 'I_SALES'.
ls_fieldcat-seltext_L = 'Quantity'.
APPEND LS_FIELDCAT TO E01_LT_FIELDCAT.
Net Price
CLEAR LS_FIELDCAT.
LS_FIELDCAT-FIELDNAME = 'NETPR'.
LS_FIELDCAT-OUTPUTLEN = 15.
LS_FIELDCAT-TABNAME = 'I_SALES'.
ls_fieldcat-seltext_L = 'Net Price'.
APPEND LS_FIELDCAT TO E01_LT_FIELDCAT.
ENDFORM. " fieldcat_init
Reward Points if it is helpful
Thanks
Seshu -
Create ABAP Report for Infoprovider
Could anyone tell me Function module to fetch Infoprovider(s) for creating ABAP report on.
The report should provide:
Input:
- Infoprovider(s)
- Date-range: default: last 6 months
Output:
- data which is shown in the requests tab as described before, preceeded with the name of the infoprovider and having the possibility to download to Excel.
ThanksHi,
you can easily use it as a template to create your own program. The program just shows what to do and how you need to populate the tables in order to pass selection parameters to the fm to get the required data back.
Here a little demo I created to do it a bit flexible from different cubes:
DATA: ref_data_tab TYPE REF TO data,
ref_data_line TYPE REF TO data,
it_sfc TYPE rsdri_th_sfc,
l_sfc TYPE rsdri_s_sfc,
it_sfc2 TYPE rsdd_th_sfc,
l_sfc2 TYPE rrsfc01,
it_sfk TYPE rsdri_th_sfk,
l_sfk TYPE rsdri_s_sfk,
it_sfk2 TYPE rsdd_th_sfk,
l_sfk2 TYPE rrsfk01,
l_first_call TYPE rs_bool,
l_end_of_data TYPE rs_bool,
l_tabname(30) TYPE c,
l_cube(30) TYPE c,
it_cobpro TYPE rsd_t_cob_pro,
l_cobpro TYPE rsd_s_cob_pro.
FIELD-SYMBOLS: <e_t_data> TYPE table,
<l_data> TYPE ANY,
<fs_field>.
PARAMETERS: pa_cube TYPE rsinfoprov OBLIGATORY DEFAULT '/NBAG/CML_C05',
pa_debug AS CHECKBOX.
IF pa_cube(1) = '0'.
CONCATENATE '/BI0/V' pa_cube '2' INTO l_tabname.
ELSE.
CONCATENATE '/BIC/V' pa_cube '2' INTO l_tabname.
ENDIF.
CREATE DATA ref_data_tab TYPE TABLE OF (l_tabname).
CREATE DATA ref_data_line TYPE (l_tabname).
ASSIGN ref_data_tab->* TO <e_t_data>.
ASSIGN ref_data_line->* TO <l_data>.
IF pa_debug = 'X'.
BREAK-POINT.
ENDIF.
CALL FUNCTION 'RSD_COB_PRO_ALL_GET'
EXPORTING
i_infocube = pa_cube
I_WITH_ATR_NAV = RS_C_FALSE
I_WITH_META_IOBJ = RS_C_FALSE
I_OBJVERS = RS_C_OBJVERS-ACTIVE
I_BYPASS_BUFFER = RS_C_FALSE
IMPORTING
e_t_cob_pro = it_cobpro
E_T_IOBJ_CMP =
E_T_ATR =
E_TLOGO =
EXCEPTIONS
infocube_not_found = 1
error_reading_infocatalog = 2
illegal_input = 3
OTHERS = 4.
IF sy-subrc <> 0.
WRITE: / sy-subrc, sy-msgno, sy-msgid, sy-msgv1, sy-msgv2, sy-msgv3.
ENDIF.
CLEAR: it_sfk[], it_sfc[].
LOOP AT it_cobpro INTO l_cobpro.
IF l_cobpro-iobjtp = 'KYF'.
IF l_cobpro-ncumfl IS INITIAL.
l_sfk-kyfnm = l_cobpro-iobjnm.
l_sfk-kyfalias = l_cobpro-iobjnm.
l_sfk-aggr = l_cobpro-aggrgen.
INSERT l_sfk INTO TABLE it_sfk.
MOVE-CORRESPONDING l_cobpro TO l_sfk2.
INSERT l_sfk2 INTO TABLE it_sfk2.
ENDIF.
ELSE.
IF l_cobpro-dimension NP '*P'.
l_sfc-chanm = l_cobpro-iobjnm.
l_sfc-chaalias = l_cobpro-iobjnm.
l_sfc-orderby = 0.
INSERT l_sfc INTO TABLE it_sfc.
MOVE-CORRESPONDING l_cobpro TO l_sfc2.
INSERT l_sfc2 INTO TABLE it_sfc2.
ENDIF.
ENDIF.
ENDLOOP.
CLEAR l_end_of_data.
l_first_call = 'X'.
WHILE l_end_of_data = space.
CALL FUNCTION 'RSDRI_INFOPROV_READ'
EXPORTING
i_infoprov = pa_cube
i_th_sfc = it_sfc
i_th_sfk = it_sfk
I_T_RANGE =
I_TH_TABLESEL =
I_T_RTIME =
i_reference_date = sy-datum
I_T_REQUID =
I_SAVE_IN_TABLE = ' '
I_TABLENAME =
i_save_in_file = 'X'
i_filename = 'C:\test.csv'
i_packagesize = 1000
I_MAXROWS = 0
i_authority_check = ' '
I_CURRENCY_CONVERSION = RS_C_TRUE
i_use_db_aggregation = ' '
i_use_aggregates = ' '
i_rollup_only = ' '
I_READ_ODS_DELTA = RS_C_FALSE
I_CALLER = RSDRS_C_CALLER-RSDRI
I_DEBUG = RS_C_FALSE
IMPORTING
e_t_data = <e_t_data>
e_end_of_data = l_end_of_data
E_AGGREGATE =
E_SPLIT_OCCURRED =
CHANGING
c_first_call = l_first_call
EXCEPTIONS
illegal_input = 1
illegal_input_sfc = 2
illegal_input_sfk = 3
illegal_input_range = 4
illegal_input_tablesel = 5
no_authorization = 6
ncum_not_supported = 7
illegal_download = 8
illegal_tablename = 9
trans_no_write_mode = 10
inherited_error = 11
x_message = 12
OTHERS = 13.
IF sy-subrc <> 0.
WRITE: / sy-subrc, sy-msgno, sy-msgid, sy-msgv1, sy-msgv2, sy-msgv3.
EXIT.
ELSE.
LOOP AT <e_t_data> INTO <l_data>.
WRITE: / sy-tabix, ':'.
LOOP AT it_cobpro INTO l_cobpro.
IF l_cobpro-ncumfl IS INITIAL.
ASSIGN COMPONENT l_cobpro-iobjnm OF STRUCTURE <l_data>
TO <fs_field>.
IF sy-subrc = 0.
WRITE: <fs_field>.
ENDIF.
ENDIF.
ENDLOOP.
ENDLOOP.
ENDIF.
CLEAR: l_first_call, <e_t_data>[].
IF l_end_of_data <> space.
EXIT.
ENDIF.
ENDWHILE
Hope this helps a bit
regards
Siggi -
I Need to Create a report for batch jobs Based on Subject Area.
Hi SAP Guru's,
I need to create a report , that it must show the status of batch jobs Completion Times based on Subject area(SD,MM,FI).
Please help me in this issue ASAP.
Thanks in Advance.
Krishna.You may need to activate some additional business content if not already installed but there are a lot BI statistics you can report on. Have a look at this:
http://help.sap.com/saphelp_nw70ehp1/helpdata/en/46/f9bd5b0d40537de10000000a1553f6/frameset.htm -
How to create crystal report for fixed assets
Hi,
I am beginner to SAP B1. I have to create crystal report on fixed assets. for the following fields I have to get data.
Fixed Asset,
Cost of Fixed asset,
Disposal of fixed asset
Scrap of fixed asset
Additional cost on fixed asset
Fixed asset cost after additional cost
Rate of fixed asset –Depreciation item cost - Percentage
Depreciation of fixed asset on item cost
write-up cost on fixed asset –write-up
Rate of fixed asset-Depreciation on write-up cost --percentage
Depreciation of fixed asset on write -up cost
Net Book value of fixed asset.
your help here is appreciated.
Thanks,
ChallaHi,
Actually they are not going to standard reports as Revaluation amount we are creating User defined fields and that needs to be fetched to the report. As well they want original cost, depreciation original cost, Revaluation amount and depreciation on revaluation separately..
As per my understand system will provide one cost and the depreciation on that.
So, can somebody help me in guiding me..
Thanks in advance.
Thanks,
Challa -
pls. help me about find my iphone lock. because i buy a second hand iphone 4s but still lock to the previous owner when i restore factory settings still searching for the previous owner of this phone still now i cant use this phone
Hello jimmy ii
The only option is to contact that person to have them remove Activation Lock from the iPhone. They can do it online and do not have to come to you. Check out the article below for more information.
Find My iPhone Activation Lock: Removing a device from a previous owner’s account
http://support.apple.com/kb/TS4515
Regards,
-Norm G. -
Why can't I create a report for standard price by material
Any ideas? All reporting I have tried in SQO1 and even in SE16 returns 0 value for standard prices?
Firstly why is this? and secondly is there another way I can pull a report by material showing standard price?
Points awarded, many thankshi,
In MM60, u can get report for materials having standard & moving average price based on ur input in selection screen like material,plant,material type,material group & created by only. As of my knowledge,
there is no option to get list of materials with standard price in std.SAP.
There are two options to generate report for materials with standard price.
1. It is better go for customization . selection screen must contains price control field. if u enter price control like 'S' or 'V' in intial screen , report is generated.
2. create a ABAP query for this.
I hope this info is helpful to u.
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