PO number display in FBL1N vendor open items

Hi MM Gurus,
Is there a way to display the PO number beside the vendor line item display. In the Change Layout option, there is a Purchasing Doc field that you can add but the field is always blank, does not display the corresponding PO.
I understand it is possible to have multiple purchase order numbers for every vendor line item but given a one-is-to-one relationship, how can I display the PO number? Is there an alternative that I can do to change the FBL1N display?
Thanks in advance!
Regards,
Marvin

>
Praveen Raghavendra wrote:
> Hi
>
> Even I too tried for getting PO number. But I hope the basis for this field is from BSEG (EBELN) table which is not coming to this report.
>
> You can click on any line item in the report and go to accounting document, in those line items you can change the layout to pull purchase document number.
>
> Or just try with ABAPer.
>
> Thanks
Thanks for this! It is another option. Do would you guys know if there's a user exit here in FLB1N that I can use?

Similar Messages

  • Vendors open items are not appearing in clearing

    Hi All,
    I am able to see 10 open items in FBL1N (Vendors' open Item), but when try to post the outgoing payment through manual clearing, it displays only 6 open items. This is happening for very few vendors.
    Please help me to get rid of this problem.
    Thanks
    Manish

    Hi Manish,
    Please check that the payment is scheduled in the APP. If it is there, then you can not see those line items while trying to do manual clearing/ payment.
    You can delete the particular payment from Payment Proposal and only after that you would be able to see those specific line itmes in manual outgoing payment.
    Thanks

  • Reports to display vendor open items by payment methods

    Hi Gurus,
    Is there any reports to display vendor open items by payment methods?
    Thanks i

    Hi,
      Use FBl1N or F.41
    Goto Dynamic selections, Select payment method give that and execute. It will give you the report payment methd wise.
    Regards,
    Radhika.

  • Vendor open item not displayed in F-44

    Dear Gurus,
    I have vendor open item (posted via MIRO). Item is displayed correctly in FBL1N and is also in table BSIK -  but item is not seen in F-44.
    Please help
    Pavel

    Hi,
    Please check those items are selected in f110 proposals.
    Please delete the unused proposals to avoid the reported issue.
    please check the same at 152813
    Regards
    madhu M
    SDN-WIKI-PAGES
    http://wiki.sdn.sap.com/wiki/x/UgTpCw  (RUPEE WORD FORMAT)
    http://wiki.sdn.sap.com/wiki/x/8oMEDg  (J1INEMIS )
    http://wiki.sdn.sap.com/wiki/x/2BAMDg  (J1INACKN )
    http://wiki.sdn.sap.com/wiki/x/3xAMDg  (J1INCCREP)
    http://wiki.sdn.sap.com/wiki/x/6xYODg  (J1INREV  )
    Edited by: M Madhu on Nov 18, 2011 10:17 AM

  • F-44 Clear Vendor Open Items

    Hi Guru's,
    We are trying to manually clear some vendor open items using t-code F-44. For some reason we are not able to find the invoice so that we can clear when we go to F-44. However, if you go to FBL1N and pull the vendor open items as of 7/1/09 you can see the invoice listed there as an open item.
    Can someone please help me on this?
    Best Regards,
    Noopers

    Assuming the vendor document is not cleared there could be two reasons why the document is not in F-44
    - Wrong company code
    - A special G/L indicator  - Document is a special GL document and in F-44 selection screen indicator is missing.
    Try additional selection -document number.

  • Vendor Open Item Was Not Offset After a Replacement Check

    Hi FI Guru,
    We have an issue with vendor replacement check.  Our vendor open item still apears in FBL1N after a replacement check is paid.  We initially issued a check against a vendor invoice and we had to void that check because due to check printing problem.   The check was cancelled in FCH8.  We then issued a replacement check in F110.  When I displayed open items for the vendor in FBL1N, the vendor invoice still showed up.  The replacement check already sent to our vendor.  So we have to apply the payment to the vendor's invoice.  It seems the second transaction (for the replacement check) is incomplete because I dont't think it hits our bank account.
    Here are my questions:
    1) Is there another transaction our user needs to offset vendor invoice?
    2) If we have to fix it manually, what is the best option to offset the open vendor invoice and still be able to hit our bank account.
    Any help is appreciated. 
    Thanks!!
    Reiling

    Hi,
    In order to change the Open Item Management for a G/L account using
    ZFSEPA02 the line item total(Total of open items)for this account
    should match/tally with the account balance for this account (FS10),
    otherwise the open item activation will not be possible.
    Unfortunately as per note 175960 you find reports RFSEPA02/ RFSEPA03
    are no longer supported as of release 4.5A.
    ALTHOUGH you can find a possible solution on how to tally the line items
    to the balance in the NOTE 403744.
    1.  Active New General Ledger
             This note applies ONLY WITH RESTRICTIONS to Release ERP 2004 or ERP
             2005 with activated New General Ledger and activated document
             splitting.
             In these releases, it is not currently possible to subsequently
             activate the open item management under the specified conditions.
             The only option currently available is to set up a new account with
             open item management and to use this instead of the original
             account.
             However, it is also possible to deactivate the open item management
             using report ZFSEPA03 under the prerequisites described below.
         2.  Migration to the New GL:
             If you are planning to migrate to the new General Ledger using a
             migration type that enables the use of document splitting, ensure
             that in Phase 1 and Phase 2 NO changes are make to the open item
             management. Phases 1 and 2 indicate the period between the migration
             date and the end of the actual migration (the "Migration Completed"
             indicator is set)

  • Vendor Open Item

    Hi Gurus,
    We are in a testing phase. I can see an vendor open item as per FBL1N for a vendor, I want to clear one open item document.
    Can you please let me know how to clear an vendor open item and i want to see as cleared item in FBL1N.
    I will assign good points.
    Thanks
    PKV

    You can clear it in a number of ways.
    Making a payment is the normal way. You can do this manually or via the payment program F110.
    You could reverse it.
    You could enter a credit amount to clear it off and then use Vendor Clear to clear, or even the auto clearing program F.13
    Hope this helps, however I would suggest you need to test all of these options in a lot of detail for a range of Vendors etc.
    Please award points if this is useful.

  • Vendor Open item issue - Functional area wise

    Hi Gurus,
    We want to create Vendor Open item report using SQVI / report painter - Functional area wise, we are creating the report using BSIK table, but it is showing the credit amount coming as +ve.  We are not able extract the net amount, as it is not reconcile with FBL1N open balances.
    Please help me with your inputs with steps / procedures to design the report in SQVI, if there is no possibility, please let me know if there is any Std Report Group to achieve this functionality.
    Regards
    Naveen

    Hi Naveen,
    I would suggest you to follow following threads from Mr. Jogeswara Rao Kavala on Query reports:
    Calling Reports from an Infoset Query
    Infoset Query: User Defined Fields
    10 Useful Tips on Infoset Queries
    Alias Tables in Infosets and QuickViews
    Infoset Query: Display message in Status bar
    Regards
    Saurabh

  • Possible to clear vendor open item against already posted payment document?

    Hi
    Can you advise if it is possible to clear an open item against already posted payment/clearing doc? Here is the background to the scenario:
    An invoice was posted with transaction FB60. This was subsequently picked up in the payment run F110 and cleared by payment document number 200005678. The item went to the bank on the paymnet file and was paid out to the vendor. The transaction reference, which appeared on the incoming bank statemnet was the payment document number 200005678.
    Subsequently it was discovered that the original invoice should have been posted with reference to a PO using MIRO. The requirement now is to reverse the paymnet documnet 200005678 in SAP, then reverse the document that was posted using FB60. After this the invoice will be posted using MIRO. This will create an open item on the vendor account.
    This item will not be piad out again. Therefore the requirement is to try clear that open item against the previously posted payment document 200005678.
    Is there any way to clear this vendor open item against the originally posted payment document 200005678?? Or any other advice on how this scenario can be handled in SAP?
    Thank for your help.
    Mike

    Hi,
    I tried that option in our test system. I ran FBRA and entered Paymnet Documnet Number (+Clearing Doc Number), Company Code, Fiscal Year.
    Then chose menu option Clearing -> Reset Cleared Items.
    The system pops up a window asking for a reversal reason and reversal date.  I use 01 and posting date of today.
    The system now posts another cleared document. That document places the invoice as an open item on the vendor account. It does not place the Payment Document as an open item on the account.
    When I go to F-44 only the open vendor invoice is showing there. There is no open paymnet document.
    Is there perhaps some configuration setting that stops the placement of the paymnet document as an open item when reset?
    Thanks for your help again.

  • Vendor Open items

    Hi,
    I am trying to use "post with clearing" transaction (F-51) and using the "outgoing payments" option there to clear the open items of the vendor. But the system is giving the message as
    "No open items found" eventhough the vendor has open invoices. The open invoices are getting diplayed in the FBL1N report as open items but I am not getting the open items list in F-04
    Please help me
    Thanks,
    Krishna Kireeti

    Hi Kireeti,
    Did u get the solutions for u r issue..
    I Got similar issue with Vendor open items..I can see few open items in Report FBl1n and BSIK table.But the same is not picking up in the F-53 manual pmnt.
    If u can share u r solution..it would be great help for me..
    Thanks in advance..
    Rgds
    Murali

  • How to clear archived vendor open items in F-44

    Hello Experts
    My user trying to clear the vendor open items through F-44.once he posted that document and he double clicking the document no, here he is getting error like below
    Express document "Update was terminated" received from author "Ravi"
    Before that he is trying to display the open item document, here he is getting error like below
    System error: Routine Beleg_Nachl info '0100-1100000001-2003-001' Not in
    BSEG/archive; inform systems administrator
        Message no. F5333
    Diagnosis
        In program routine 'Beleg_Nachle' an error
        ('0100-1100000001-2003-001') has occurred. Processing is terminated.
    Procedure
        This is caused by a program error and you should contact SAP Support.
    Can anybody please tell me how I can clear those document and also is there any possibility to get back archive data and clear it.
    Thanks in advance
    Regards
    Vamsi

    Hello!
    Please check if someone has activated the OpenFI/BTE 1650 in your 
    system.                                                                               
    Within this BTE you can change parts of the internal table where th
    data that should get displayed is in.                                                                               
    Please review the BTE, or if after you deactivate it the line item
    display works ok.                                                 
    In other cases this message can be caused due to inconsistencies, for example if ( for some reason ) there are
    entries in BKPF, BSID or BSIK or BSIS and nt in BSEG. Please  run the reports below to check inconsistencies:
    1) SAPF190 as per note 86067 if you have only the Classic GL active
    or
    2)TFC_COMPARE_VZ (tcode: FAGLF03) if they are using the NewGL.
    Regards,
    REnan

  • F-53 manual clearing vendor Open Items

    Please help me,
    When i saw vendor open items in fbl1n sys gives open items, i will try to clear that open items (F_53) sys gives message there is no open items,
    Regards,
    TML

    Hi Swati,
    The openitems which is showing in vendor account might be the spl gl transactions like advance payment, which are not cleared so far, go to F-44 and clear that spl items.
    hope it helps you,
    Regards,
    kishore

  • Clearing Vendor Open items at T.Code. F-44

    I m getting a message "Enter Doc number from number range 01 for year 2010" (msg no.F5223) while trying to clear vendor open items at T. Code (F-44)  when I give the account no and try to save it or process open items by clicking the "Process Tab". Any suggestions to resolve it will be greatly appriciated.

    Hi,
    You must have maintained the number range object 01 to your clearing do c type AB.
    In order to do clearing, you must have the number range assigned to that 01 object for fiscal year 2010 in FBN1.
    Thanks,
    Srinu

  • Transfer Vendor Open items to a new company

    Hi,
    My client is creating a new company code (Company B) from April and they want the vendor open items as on 31st March in the existing company (Company A)  to be transferred to the new company B on 1st April i.e on 1st April the balance in company A shall be shown as zero (no open items) and in company B shall be shown as the amount which is transferred from company A.
    Please let me know how this can be achieved.
    Thanks
    VS

    Hi,
    First you have to maintain cross company code gl accounts in OBYA
    Choose transaction code F-04 or F-51with the option Transfer posting with clearing
    Assume vendor 1234 has a debit balance of 1000/- in company code A(document number 100)
    Now you have to pass the entry as below
    Go to F-51 or F-04
    Give the header data like Company code A, document date, posting datea other...
    Choose Transfer posting with clearing
    give posting key 21, vendor code 1234 Press enter
    Give amount 1000 and click on process open items Give company code B, Vendor code and Account type K(vendors) and choose finally document number radio button press enter
    Give the document number 100 and click on simulate. Now system will pass clearing entry in company code B and transfer entry in company code A.
    You can create BDC for the same for line item wise.
    Yet end you need to check the balances of intercompany transaction gl accounts which are maintained in OBYA. The balances of these gl account is zero in by adding the totals in company codes A&B.
    Check once
    Regards,
    Sankar

  • Vendor Open Item Analysis by Overdue Items

    Hi Freinds,
    The users desire to generate the Vendor Open Item Analysis by Overdue Items. When the report is generated using the Program RFKOPR10, the report gives the list of Vendors with the details of overdues as per the buckets selected. However, along with the Vendor Codes, the list gives the short name of the Vendor, which is picked form the 'Search Feild' in the Vendor Master and is the short name, whereas the users desire to have the full name exhibited in the report.
    How can we have the full name in the report instead of the short name? Can any one help us in this matter?
    Thanks for the assistance.
    Regards

    Hello Pankaj,
    Thanks for the prompt response. Our problem is that we require an AP Aging Analysis giving the overdue amounts by days - such as 30/60/90/120/>120. We are able to get the report but the name is not appearing in full. How can we have the full name displayed in the Report?
    Regards

Maybe you are looking for

  • How to keep songs in order of album/artist help pls

    Hiya, Firstly is there a quicker way of putting an album on my shuffle other that clicking every song and adding it please? Also I have two albums on at the moment but they are all mixed up, how do i put them in order of album etc Thanks, Michelle. x

  • Suppressing warning messages

    Hi there I'm working on an FAPI client at the moment, and the client needs to be scriptable. Unfortunately, problems arise if FrameMaker has to display certain modal error or dialog boxes like "This file was created with an earlier version of FrameMa

  • Where is the blocked pop-up indicator now that the status bar is gone?

    In Firefox 3, we had this: http://support.mozilla.com/en-US/kb/Pop-up%20blocker?s=pop-ups&as=s When blocking a pop-up, Firefox displays an information bar, as well as an icon Popup-blocked-en-win.png in the status bar. Firefox 4 BETA, the status bar

  • Can we put RAC database in Archivelog mode without shutting down

    All, Can we put RAC database in Archivelog mode without shutting down. Currently our new production database (2 node RAC) is in no archive log mode, Need to enable archive log in the database... I believe we need to set the cluster_database=false and

  • Create new partner role type

    Hi Guys This one is from Traders' and Schedulers' Workbench from IS Oil and Gas Downstream. I need to know whether we can create new partner role types (e.g. TSW011, TSW011, etc). The partner role types are maintained in table OIJRRT but I could not