Printing journal entries

Our international offices have a legal requirement to print each journal entry posted to their general ledger. They currently use FB03 to print each entry.  I cannot find another report or other program to allow multiple entries to be printed at once using the FB03 format.  So they are going into each document and printing them.  Does anyone know of a better way to do this.  Also, the print font from FB03 is very small.  I have tried all the available layouts and even printed to pdf files.  But it is still hard to read.  Any advice would be helpful.

Check your configuration.
Please follow the following steps:
IMG ==> Financial Accounting ==> Accounts Receivables and Accounts Payables ==> Customer Accounts ==> Line Items ==> Correspondence ==> Make and Check Settings for Correspondence
Define Correspondence Types
Create Report Variants for Correspondence
Assign Programs for Correspondence Types
Define Form Names for Correspondence Print (even you assign your form to blank company code also)
If you complete these steps you will get the spool request get generated.
Try to use F.64
Then go to SP02 - Take print out.
Regards,
Ravi

Similar Messages

  • Mass Printing of Journal Entries

    Good Morning.
    I'm trying to figure out how to print a large number of journal entries without having to click on each one individually, but am having difficulty figuring this out.
    I need the Journal Entry/Document print out to match how the print out would look in FB03.
    I read on a previous thread that a Query can be created to do this. Is that the only way? If so, can someone walk me through how to create a Query for this?
    I've never created a Query in SAP before and am having difficulty figuring it out.
    Thank you for your help. Let me know if I need to clarify what I'm trying to accomplish.

    Hi,
    Sir.
    As far as concern there is no Tcode or BAPI avaliable for MASS Reversal of MIRO. Instead simply you
    can write LSMW for MR8M with appropriate data in .TXT format and run once.
    LSMW for MR8M is possible solution.
    I hope this helps you.
    Regards,
    Pankaj A Bhalerao.

  • Printing of Journal Entry

    Dear All,
    would like to ask a stupid question ...
    For the Financials -> Journal Entry
    When printing, 1 JE # will print out 1 A4 size paper... and most of the area of the paper is not used (only got a few transaction, seems so waste), just wondering if there is any method to print it out let's say 2 JE# in 1 A4 paper ?
    (except export to Excel)
    Thanks all
    Edited by: tac wong on Jul 22, 2008 1:22 PM

    tac wong,
    Use Transaction Journal Report,Select orginal Journal,
    Select From & To Date,Click Ok.
    Use PLD-Transaction Journal(Ehp) to print it in A4 Paper format.
    Jeyakanthan

  • Vendor name in the Journal entry PLD

    Hi all,
    I want to print the vendor name in the journal entry pld, what is happening is i have taken the Table as GL Account and the Column as Account Name, it is getting me the control account, but i dont want  control account i want the name of the vendor to be printed.
    And i have checked the system journal entry pld in that the name of the vendor name is printing correctly it has taken table as Journal entry rows and the Column as Bp/Account code i am also taking the same but it is not fetching me the name of the vendor,it is only fetchig the account code. So let me know how to resolve this issue.

    Solved by Myself

  • Business partner balance does not match journal entries message

    Dear All,
    The error message "Business partner balance does not match journal entries" appears in customer receivable report print preview. This is happened While generating the Customer Receivables Aging report by sales documents. What is the main cause ? How to resolve it ? Thanks a lot
    Rgds,
    Edu

    Hello,
    I've got solution from SAP notes. From the notes, the problem is probably caused by :
    1. Inconsistent Reconciliation
    2. Unbalanced Reconciliation
    3. Document is closed but the Document Journal Entry is Unreconciled
    4. Business Partner Balance is Incorrect
    5. Reconciling Part of Split Payment's Journal Entries
    There aresome queries need to run in order to solve the problem. If you are not a partner, let me know your e-mail so that I could send.
    Rgd,

  • How to do an incoming payment based on journal entry whit SDK ?

    Hello
    Somebody have the code for SDK of Business One,  how  to do an  incoming payment based on journal entry?
    Tks

    Hello Julio,
    Here some example code from the SDK helpfile.
    Private Sub cmdTest_Click()
       On Error GoTo ErrorHandler
       Dim vCompany As SAPbobsCOM.Company
       'create company object
       Set vCompany = New SAPbobsCOM.Company
       'set paras for connection
       vCompany.CompanyDB = "SBODemo_US"
       vCompany.Password = "manager"
       vCompany.UserName = "manager"
       vCompany.Server = "(local)"
       'connect to database server
       If (0 <> vCompany.Connect()) Then
          MsgBox "Failed to connect"
          Exit Sub
       End If
       Dim nErr As Long
       Dim errMsg As String
       'Set the object's properties
       Dim vPay As SAPbobsCOM.Payments
       Set vPay = vCompany.GetBusinessObject(oIncomingPayments)
       vPay.Address = "622-7"
       vPay.ApplyVAT = 1
       vPay.CardCode = "D10006"
       vPay.CardName = "Card D10004"
       vPay.CashAccount = "288000"
       vPay.CashSum = 0
       'vPay.CheckAccount = "280001"
       vPay.ContactPersonCode = 1
       vPay.DocCurrency = "Eur"
       vPay.DocDate = Now
       vPay.DocRate = 0
       vPay.DocTypte = 0
       vPay.HandWritten = 0
       vPay.JournalRemarks = "Incoming - D10004"
       vPay.LocalCurrency = tYES
       vPay.Printed = 0
       vPay.Reference1 = 8
       vPay.Series = 0
       vPay.SplitTransaction = 0
       vPay.TaxDate = Now
       vPay.TransferAccount = "10100"
       vPay.TransferDate = Now
       vPay.TransferSum = 0
       vPay.Invoices.AppliedFC = 0
       vPay.Invoices.AppliedSys = 0
       vPay.Invoices.DocEntry = 8
       vPay.Invoices.DocLine = 0
       vPay.Invoices.DocRate = 0
       vPay.Invoices.InvoiceType = 13
       vPay.Invoices.LineNum = 0
       vPay.Invoices.SumApplied = 5031.2
       Call vPay.Invoices.Add
       Call vPay.Invoices.SetCurentLine(1)
       vPay.Invoices.AppliedFC = 0
       vPay.Invoices.AppliedSys = 1089.65
       vPay.Invoices.DocEntry = 11
       vPay.Invoices.DocLine = 1
       vPay.Invoices.DocRate = 0
       vPay.Invoices.InvoiceType = it_Invoice
       vPay.Invoices.LineNum = 1
       vPay.Invoices.SumApplied = 1000
       vPay.CreditCards.AdditionalPaymentSum = 0
       vPay.CreditCards.CardValidUntil = CDate("10/31/2004")
       vPay.CreditCards.CreditAcct = "295000"
       vPay.CreditCards.CreditCard = 3
       vPay.CreditCards.CreditCardNumber = "884848448"
       vPay.CreditCards.CreditCur = "EUR"
       vPay.CreditCards.CreditRate = 0
       vPay.CreditCards.CreditSum = 5031.2
       vPay.CreditCards.CreditType = 1
       vPay.CreditCards.FirstPaymentDue = CDate("11/29/2002")
       vPay.CreditCards.FirstPaymentSum = 5031.2
       vPay.CreditCards.LineNum = 0
       vPay.CreditCards.NumOfCreditPayments = 1
       vPay.CreditCards.NumOfPayments = 1
       vPay.CreditCards.OwnerIdNum = "3993939"
       vPay.CreditCards.OwnerPhone = "383838888"
       vPay.CreditCards.PaymentMethodCode = 1
       Call vPay.CreditCards.Add
       Call vPay.CreditCards.SetCurentLine(1)
       vPay.CreditCards.AdditionalPaymentSum = 0
       vPay.CreditCards.CardValidUntil = CDate("10/31/2004")
       vPay.CreditCards.CreditAcct = "295000"
       vPay.CreditCards.CreditCard = 3
       vPay.CreditCards.CreditCardNumber = "884848448"
       vPay.CreditCards.CreditCur = "EUR"
       vPay.CreditCards.CreditRate = 0
       vPay.CreditCards.CreditSum = 1000
       vPay.CreditCards.CreditType = 1
       vPay.CreditCards.FirstPaymentDue = CDate("11/29/2002")
       vPay.CreditCards.FirstPaymentSum = 1000
       vPay.CreditCards.LineNum = 1
       vPay.CreditCards.NumOfCreditPayments = 1
       vPay.CreditCards.NumOfPayments = 1
       vPay.CreditCards.OwnerIdNum = "3993939"
       vPay.CreditCards.OwnerPhone = "383838888"
       vPay.CreditCards.PaymentMethodCode = 1
       If (vPay.Add() <> 0) Then
           MsgBox ("Failed to add a payment")
       End If
       'Check Error
       Call vCompany.GetLastError(nErr, errMsg)
       If (0 <> nErr) Then
           MsgBox ("Found error:" + Str(nErr) + "," + errMsg)
       Else
           MsgBox ("Succeed in payment.add")
       End If
       'disconnect the company object, and release resource
       Call vCompany.Disconnect
       Set vCompany = Nothing
       Exit Sub
    ErrorHandler:
       MsgBox ("Exception:" + Err.Description)
    End Sub
    HTH Regards Teun
    Edited by: Teun Aben on Aug 4, 2010 9:00 PM

  • Triger value from outgoing payment to journal entry

    Hi all,
    I add an UDF in outgoing payment form ( system form)for example i call it area. In the same time i also add an udf with the same name ( area) in journal entry form ( system form). When I entry data in outgoing payment, i also entry the area field in out going payment. for example i fill "Boston" in area field in Outgoing payment. How can i show it in journal entry also? As we know in journal entry , we don't need entry  the data anymore. What i fill in outgoing payment , also will post in journal entry. I just want my area value also can post in journal entry.
    thanks for the help

    Hi Janos,
    thanks for your posting in my thread. Actually i have make my own codes for this issue. i don't know if my codes is similar with your post.
    If pVal.ItemUID = "1" And pVal.EventType = SAPbouiCOM.BoEventTypes.et_ITEM_PRESSED And oForm.Mode = SAPbouiCOM.BoFormMode.fm_OK_MODE Then
                        ' If pVal.Action_Success Then
                        Debug.Print("OJDT")
                        Try
                            Dim JEDoc As SAPbobsCOM.Documents
                            'Dim headerCode As Long
                            oCompany.StartTransaction()
                            'headerCode = LastEntry("OIGE")
                            JEDoc = oCompany.GetBusinessObject(SAPbobsCOM.BoObjectTypes.oJournalEntries)
                            Dim docnum As SAPbouiCOM.EditText
                            Dim docnum1 As Integer
                            docnum = oForm.Items.Item(3).Specific
                            docnum1 = docnum.Value
                            Debug.Print(docnum1)
                            JEDoc.GetByKey(517)
                            Dim area As SAPbouiCOM.EditText
                            area = oForm.Items.Item("tArea").Specific
                            JEDoc.UserFields.Fields.Item("U_ST_Area").Value = area.Value
                            JEDoc.Update()
                            oCompany.EndTransaction(SAPbobsCOM.BoWfTransOpt.wf_Commit)
                        Catch ex As Exception
                            If oCompany.InTransaction Then oCompany.EndTransaction(SAPbobsCOM.BoWfTransOpt.wf_RollBack)
                            SBO_Application.SetStatusBarMessage(ex.Message, SAPbouiCOM.BoMessageTime.bmt_Short, True)
                        End Try
                        'End If
                    End If
    so , i get business object for the journal entry in outgoingpayment. the problem is i still confuse with the getbykey method.
    I must fill the getbykey with a value which the value is also link to Journal Entry. I fill the value with docentry in outgoing payment. but it's still problem.
    thanks in advance
    best regards
    bodhi86
    ( i'm sorry with my bad english)

  • Unbalance transaction Error - Journal Entry Posting

    Hi all,
    Good afternoon. i posted  journal  entry using DI -API. I have two  Journal Entry when i add the first journal Entry added the second journal entry not added its show the Error Unbalanced transaction
    Each Journal Entry have 2 lines
    I am using 8.8 patch Level 12
    Please anyone help me out of this issue
    Edited by: lakshmi narayanan on Oct 19, 2011 9:11 AM

    Hi Jitin,
    Did you solved this issue? I just have the same problem with SAP Business One 2007 A (8.00.181) SP: 00 PL: 47
    Here my oJournalEntry XML before Add.
    You can see that Debit amount is equal to Credit amount (highlited with red)
    I would like to receive some suggestions.
    <?xml version="1.0" encoding="UTF-16"?>
    <BOM>
      <BO>
      <AdmInfo>
      <Object>30</Object>
      </AdmInfo>
      <OJDT>
      <row>
      <BatchNum>0</BatchNum>
      <TransId>0</TransId>
      <BtfStatus>O</BtfStatus>
      <TransType>-1</TransType>
      <BaseRef/>
      <RefDate>20140104</RefDate>
      <Memo>AS400-89532</Memo>
      <Ref1/>
      <Ref2/>
      <CreatedBy>0</CreatedBy>
      <LocTotal>0.000000</LocTotal>
      <FcTotal>0.000000</FcTotal>
      <SysTotal>0.000000</SysTotal>
      <TransCode/>
      <OrignCurr/>
      <TransRate>0.000000</TransRate>
      <BtfLine>0</BtfLine>
      <TransCurr/>
      <Project/>
      <DueDate/>
      <TaxDate>20140104</TaxDate>
      <PCAddition>N</PCAddition>
      <FinncPriod>0</FinncPriod>
      <DataSource>N</DataSource>
      <UpdateDate/>
      <CreateDate/>
      <UserSign>0</UserSign>
      <UserSign2>0</UserSign2>
      <RefndRprt>N</RefndRprt>
      <LogInstanc>0</LogInstanc>
      <ObjType>30</ObjType>
      <Indicator/>
      <AdjTran>N</AdjTran>
      <RevSource>N</RevSource>
      <StornoDate/>
      <StornoToTr>0</StornoToTr>
      <AutoStorno>N</AutoStorno>
      <Corisptivi>N</Corisptivi>
      <VatDate/>
      <StampTax>N</StampTax>
      <Series>1543</Series>
      <Number>0</Number>
      <AutoVAT>N</AutoVAT>
      <DocSeries>0</DocSeries>
      <FolioPref/>
      <FolioNum>0</FolioNum>
      <CreateTime>0</CreateTime>
      <BlockDunn>N</BlockDunn>
      <ReportEU>N</ReportEU>
      <Report347>N</Report347>
      <Printed>N</Printed>
      <BaseTrans>0</BaseTrans>
      <U_MIGSAP_KEY/>
      <U_YVA_RENDI/>
      <U_YVA_NUMREN>0</U_YVA_NUMREN>
      <U_YVA_ANULADO/>
      </row>
      </OJDT>
      <JDT1>
      <row>
      <TransId>0</TransId>
      <Line_ID>0</Line_ID>
      <Account>12121</Account>
      <Debit>0.000000</Debit>
      <Credit>0.000000</Credit>
      <SYSCred>0.000000</SYSCred>
      <SYSDeb>0.000000</SYSDeb>
      <FCDebit>0.000000</FCDebit>
      <FCCredit>863.420000</FCCredit>
      <FCCurrency>USD</FCCurrency>
      <DueDate>20140104</DueDate>
      <SourceID>0</SourceID>
      <SourceLine>0</SourceLine>
      <ShortName>C10211220550</ShortName>
      <IntrnMatch>0</IntrnMatch>
      <ExtrMatch>0</ExtrMatch>
      <ContraAct>C10211220550</ContraAct>
      <LineMemo>AS400-89532</LineMemo>
      <Ref3Line/>
      <TransType>-1</TransType>
      <RefDate/>
      <Ref2Date/>
      <Ref1/>
      <Ref2>89532</Ref2>
      <CreatedBy>0</CreatedBy>
      <BaseRef/>
      <Project/>
      <TransCode/>
      <ProfitCode/>
      <TaxDate/>
      <SystemRate>0.000000</SystemRate>
      <MthDate/>
      <ToMthSum>0.000000</ToMthSum>
      <UserSign>0</UserSign>
      <BatchNum>0</BatchNum>
      <FinncPriod>0</FinncPriod>
      <RelTransId>-1</RelTransId>
      <RelLineID>-1</RelLineID>
      <RelType>N</RelType>
      <LogInstanc>0</LogInstanc>
      <VatGroup/>
      <BaseSum>0.000000</BaseSum>
      <VatRate>0.000000</VatRate>
      <Indicator/>
      <AdjTran>N</AdjTran>
      <RevSource>N</RevSource>
      <ObjType>30</ObjType>
      <VatDate/>
      <PaymentRef/>
      <SYSBaseSum>0.000000</SYSBaseSum>
      <MultMatch>0</MultMatch>
      <VatLine>N</VatLine>
      <VatAmount>0.000000</VatAmount>
      <SYSVatSum>0.000000</SYSVatSum>
      <Closed>N</Closed>
      <GrossValue>0.000000</GrossValue>
      <CheckAbs>0</CheckAbs>
      <LineType>0</LineType>
      <DebCred/>
      <SequenceNr>0</SequenceNr>
      <StornoAcc/>
      <BalDueDeb>0.000000</BalDueDeb>
      <BalDueCred>0.000000</BalDueCred>
      <BalFcDeb>0.000000</BalFcDeb>
      <BalFcCred>0.000000</BalFcCred>
      <BalScDeb>0.000000</BalScDeb>
      <BalScCred>0.000000</BalScCred>
      <IsNet>Y</IsNet>
      <DunWizBlck>N</DunWizBlck>
      <DunnLevel>0</DunnLevel>
      <DunDate/>
      <TaxType>0</TaxType>
      <TaxPostAcc>N</TaxPostAcc>
      <StaCode/>
      <StaType>0</StaType>
      <TaxCode/>
      <ValidFrom>19000101</ValidFrom>
      <GrossValFc>0.000000</GrossValFc>
      <LvlUpdDate/>
      <U_BPP_CTAD/>
      <U_BPP_CTAPAT/>
      <U_BPP_DCCD>0</U_BPP_DCCD>
      <U_BPP_DCPR>N</U_BPP_DCPR>
      <U_INFOPE01/>
      <U_INFOPE02/>
      <U_INFOPE03/>
      <U_InfoCo01/>
      <U_YVA_TIENDA/>
      <U_YVA_UNDTRANS/>
      <U_YVA_FECDOC/>
      <U_HYP_Status>3</U_HYP_Status>
      <U_HYP_BofEx400>89532</U_HYP_BofEx400>
      <U_HYP_Closed>N</U_HYP_Closed>
      </row>
      <row>
      <TransId>0</TransId>
      <Line_ID>0</Line_ID>
      <Account>12311</Account>
      <Debit>0.000000</Debit>
      <Credit>0.000000</Credit>
      <SYSCred>0.000000</SYSCred>
      <SYSDeb>0.000000</SYSDeb>
      <FCDebit>431.710000</FCDebit>
      <FCCredit>0.000000</FCCredit>
      <FCCurrency>USD</FCCurrency>
      <DueDate>20140203</DueDate>
      <SourceID>0</SourceID>
      <SourceLine>0</SourceLine>
      <ShortName>C10211220550</ShortName>
      <IntrnMatch>0</IntrnMatch>
      <ExtrMatch>0</ExtrMatch>
      <ContraAct>C10211220550</ContraAct>
      <LineMemo>LT-268302</LineMemo>
      <Ref3Line/>
      <TransType>-1</TransType>
      <RefDate/>
      <Ref2Date/>
      <Ref1/>
      <Ref2>268302</Ref2>
      <CreatedBy>0</CreatedBy>
      <BaseRef/>
      <Project/>
      <TransCode/>
      <ProfitCode/>
      <TaxDate/>
      <SystemRate>0.000000</SystemRate>
      <MthDate/>
      <ToMthSum>0.000000</ToMthSum>
      <UserSign>0</UserSign>
      <BatchNum>0</BatchNum>
      <FinncPriod>0</FinncPriod>
      <RelTransId>-1</RelTransId>
      <RelLineID>-1</RelLineID>
      <RelType>N</RelType>
      <LogInstanc>0</LogInstanc>
      <VatGroup/>
      <BaseSum>0.000000</BaseSum>
      <VatRate>0.000000</VatRate>
      <Indicator/>
      <AdjTran>N</AdjTran>
      <RevSource>N</RevSource>
      <ObjType>30</ObjType>
      <VatDate/>
      <PaymentRef/>
      <SYSBaseSum>0.000000</SYSBaseSum>
      <MultMatch>0</MultMatch>
      <VatLine>N</VatLine>
      <VatAmount>0.000000</VatAmount>
      <SYSVatSum>0.000000</SYSVatSum>
      <Closed>N</Closed>
      <GrossValue>0.000000</GrossValue>
      <CheckAbs>0</CheckAbs>
      <LineType>0</LineType>
      <DebCred/>
      <SequenceNr>0</SequenceNr>
      <StornoAcc/>
      <BalDueDeb>0.000000</BalDueDeb>
      <BalDueCred>0.000000</BalDueCred>
      <BalFcDeb>0.000000</BalFcDeb>
      <BalFcCred>0.000000</BalFcCred>
      <BalScDeb>0.000000</BalScDeb>
      <BalScCred>0.000000</BalScCred>
      <IsNet>Y</IsNet>
      <DunWizBlck>N</DunWizBlck>
      <DunnLevel>0</DunnLevel>
      <DunDate/>
      <TaxType>0</TaxType>
      <TaxPostAcc>N</TaxPostAcc>
      <StaCode/>
      <StaType>0</StaType>
      <TaxCode/>
      <ValidFrom>19000101</ValidFrom>
      <GrossValFc>0.000000</GrossValFc>
      <LvlUpdDate/>
      <U_BPP_CTAD/>
      <U_BPP_CTAPAT/>
      <U_BPP_DCCD>0</U_BPP_DCCD>
      <U_BPP_DCPR>N</U_BPP_DCPR>
      <U_INFOPE01/>
      <U_INFOPE02/>
      <U_INFOPE03/>
      <U_InfoCo01/>
      <U_YVA_TIENDA/>
      <U_YVA_UNDTRANS/>
      <U_YVA_FECDOC/>
      <U_HYP_Status>3</U_HYP_Status>
      <U_HYP_BofEx400>268302</U_HYP_BofEx400>
      <U_HYP_Closed>N</U_HYP_Closed>
      </row>
      <row>
      <TransId>0</TransId>
      <Line_ID>0</Line_ID>
      <Account>12311</Account>
      <Debit>0.000000</Debit>
      <Credit>0.000000</Credit>
      <SYSCred>0.000000</SYSCred>
      <SYSDeb>0.000000</SYSDeb>
      <FCDebit>431.710000</FCDebit>
      <FCCredit>0.000000</FCCredit>
      <FCCurrency>USD</FCCurrency>
      <DueDate>20140305</DueDate>
      <SourceID>0</SourceID>
      <SourceLine>0</SourceLine>
      <ShortName>C10211220550</ShortName>
      <IntrnMatch>0</IntrnMatch>
      <ExtrMatch>0</ExtrMatch>
      <ContraAct>C10211220550</ContraAct>
      <LineMemo>LT-268303</LineMemo>
      <Ref3Line/>
      <TransType>-1</TransType>
      <RefDate/>
      <Ref2Date/>
      <Ref1/>
      <Ref2>268303</Ref2>
      <CreatedBy>0</CreatedBy>
      <BaseRef/>
      <Project/>
      <TransCode/>
      <ProfitCode/>
      <TaxDate/>
      <SystemRate>0.000000</SystemRate>
      <MthDate/>
      <ToMthSum>0.000000</ToMthSum>
      <UserSign>0</UserSign>
      <BatchNum>0</BatchNum>
      <FinncPriod>0</FinncPriod>
      <RelTransId>-1</RelTransId>
      <RelLineID>-1</RelLineID>
      <RelType>N</RelType>
      <LogInstanc>0</LogInstanc>
      <VatGroup/>
      <BaseSum>0.000000</BaseSum>
      <VatRate>0.000000</VatRate>
      <Indicator/>
      <AdjTran>N</AdjTran>
      <RevSource>N</RevSource>
      <ObjType>30</ObjType>
      <VatDate/>
      <PaymentRef/>
      <SYSBaseSum>0.000000</SYSBaseSum>
      <MultMatch>0</MultMatch>
      <VatLine>N</VatLine>
      <VatAmount>0.000000</VatAmount>
      <SYSVatSum>0.000000</SYSVatSum>
      <Closed>N</Closed>
      <GrossValue>0.000000</GrossValue>
      <CheckAbs>0</CheckAbs>
      <LineType>0</LineType>
      <DebCred/>
      <SequenceNr>0</SequenceNr>
      <StornoAcc/>
      <BalDueDeb>0.000000</BalDueDeb>
      <BalDueCred>0.000000</BalDueCred>
      <BalFcDeb>0.000000</BalFcDeb>
      <BalFcCred>0.000000</BalFcCred>
      <BalScDeb>0.000000</BalScDeb>
      <BalScCred>0.000000</BalScCred>
      <IsNet>Y</IsNet>
      <DunWizBlck>N</DunWizBlck>
      <DunnLevel>0</DunnLevel>
      <DunDate/>
      <TaxType>0</TaxType>
      <TaxPostAcc>N</TaxPostAcc>
      <StaCode/>
      <StaType>0</StaType>
      <TaxCode/>
      <ValidFrom>19000101</ValidFrom>
      <GrossValFc>0.000000</GrossValFc>
      <LvlUpdDate/>
      <U_BPP_CTAD/>
      <U_BPP_CTAPAT/>
      <U_BPP_DCCD>0</U_BPP_DCCD>
      <U_BPP_DCPR>N</U_BPP_DCPR>
      <U_INFOPE01/>
      <U_INFOPE02/>
      <U_INFOPE03/>
      <U_InfoCo01/>
      <U_YVA_TIENDA/>
      <U_YVA_UNDTRANS/>
      <U_YVA_FECDOC/>
      <U_HYP_Status>3</U_HYP_Status>
      <U_HYP_BofEx400>268303</U_HYP_BofEx400>
      <U_HYP_Closed>N</U_HYP_Closed>
      </row>
      </JDT1>
      </BO>
    </BOM>

  • Printout of single journal entry

    Hi All,
    We have a requirement where client wants to give range of GL accounts in the selection screen but want each and every document, i.e., journal entry to be printed separately.
    I checked Standard SAP reports, but if we select a document number range, then all the documents are printed together. Is there any possibility to get printout of each document number separately in journal entry format in standard SAP? If so what is the transaction code
    Thanks & Regards
    Anupama

    Hi,
    Standared forms not suitable 100% as per client requirement.
    Please use T.Code: F.62 & use correspondance: SAP01 to SAP09 & get print out.
    otherwise create saparate form for this requirement & configure correspondance & get print each docuemnt.
    regards,
    Viswa

  • Include the Journal entry created in Incoming Payments PLD

    Hello Experts!!!
    Is there a way to include the journal entry created in the Incoming Payments PLD?

    hi jennifer,
    You can create query print layout designer report using query.
    SELECT
    T0.TransId, T0.BaseRef, T0.RefDate,
    T1.Account, T1.ShortName, T2.AcctName,
    T1.Debit, T1.Credit
    FROM OJDT T0  INNER JOIN JDT1 T1 ON T0.TransId = T1.TransId and
    T1.TransType = 24 INNER JOIN OACT T2 ON T1.Account = T2.AcctCode
    WHERE
    T0.BaseRef = '[%0]' or  T0.RefDate = '[%1]'
    Jeyakanthan

  • Add Journal Entries Report - Output to Request Set

    Hi All,
    I'm trying to create a Request Set for the receivable application
    The request set should contains two Programs
    1- AR: Journal Entries Report
    2- Journal Entries Report - Output
    I defined the request set and when i start adding the programs , i selected the first program AR: Journal Entries Report from the list and gave it sequence 10
    when i tried to add the other Report "Journal Entries Report - output" i didn't find it in the list and i'm not able to add it
    1-Do any one know why this program doesn't appeat in the list ?
    2- If i created a copy of this program and gave it other name , this program in the definition doesn't have any parameters although a parameters must be passed to it from the first request AR : Journal Entries report. how to pass parameters from the first program to it
    Best Regards

    nuppara,
    I need to add this report to the request set as it's a workaround to get the output of the AR: Journal Entries Report as Excel - I created a post asking this question also , u already replied to it.
    My workaround is like this , the AR: journal Entries Report automatically sumbit the program "Journal Entries Report - Output" based on the parameters that the user select
    Print Detail By Account , Print Detail By Category , Print Summary By Account , Print Summary By Category
    if i want to to make this report to be an Excel output so i'll have to create 4 templates but won't be able to assign the correct template to it , as the main request AR: journal Entries report calls it automaticcaly, and may run it 4 times
    so my workaround was like this
    i'll create 4 request sets ,
    the first RS will be for example AR: journal Entries Detail By Account, i'll add to it 2 programs the AR: journal Entries Report , and the Journal Entry Report - output -OR a program copied from it with the same design and i'll add parameters to it-
    i'll force the parameters of the AR: Journal Entries in this request set to be Print Detail By Account = 'Y' and the other options = 'N' so the report will call Journal Entry Report - output with the parmeter layout= 'Print Detail By Account ' will be displayed as text ... when it finish the request set will run the Journal Entry Report - output -OR the copied program - that i'll assign the correct template and data definition for it, so it'll run and display the output as Excel .
    I need to try this solution, but i was not able to add the journal Entries Report - Output to the request set :( and i'm not sure if i'll create a copy from it will be added or not,
    and also i'm not sure if this workaround may work , as i know when the AR: Journal Entires report complete it delete the data from the temp table so the 2nd request may work on an empty table , or it'll have a request_id different from the request_id of the temp table so it won't select any row
    all of this is just a brain storming to find the solution. :( i'm thinking by a loud voice here :-D
    i know it may not work but at least to try it i need to add this report to the request set.

  • AR: Journal Entries Report Convert to Excel using XML

    Hi All,
    The Client ask to add a column and change the output format to Excel (using XML Publish) to the standard report " AR: Journal Entries Report" whish is Spawned ..
    i know the Report calls other report called "Journal Entries Report - Output" using some parameters one of them is "P_LAYOUT_DESCRIPTION" which may be 1 of these values
    Print Detail By Account , Print Detail By Category , Print Summary By Account , Print Summary By Category
    and each one of them has different layout
    Now i want to know
    1- the ability of adding a column to this report (SPAWNED)
    2- The ability of translating the output to EXCEL,PDF,RTF (using XML Publisher)
    I Know the steps of how to convert a report to XML using data definition and template, but the spawned program calls the "Journal Entries Report - Output" by specific parameters and doesn't mention the template name that will be used or output type of the template
    as if i'll create 4 templates one for each layout how to let the Main report calls the output report giving it the correct template that should be displayed
    Best Regards,
    Amir

    Sure i used it , and i created many templates for it with different layouts ,
    But the user needs this report specially :(

  • Pld on journal entry

    hello sap experts
    how can i track     Booking Document No.( SO & PO DOC NO's)     
                                 Document date     (SO & PO DOC date)
                                   Posting Date     (SO & PO DOC posting date)
                                 vendor name
                                 vendor address in journal entry pld  pls answer asap
    regards
    Jenny

    Hi Jenny,
    IF you need to get the SO (or) PO No, Doc Date & Posting Date(invoice based) on Journal Entry.
    Try this,
    When you add the invoice at that time
    you can add the SO (or) PO No, Doc Date & Posting Date in Journal Remarks Field in invoice.
    Journal Remark field value will be store to Remarks field on Journal Entry document.
    Table -> OJDT - Journal Entry.
    Column -> Memo - Details.
    Try this,
    ->> Open the Journal Entry(System) PLD and Save as the New PLD.
    ->> Open the New *J.E *PLD and Create Database Field then Assign the Journal Entry Remarks field.
    Table -> OJDT - Journal Entry.
    Column -> Memo - Details.
    Save the PLD and run Print Preview.
    Else,
    Try to Create QPLD
    Regards,
    Madhan.

  • Print Journal Vouchers

    Hi,
    I try to print out from Journal Vouchers, and i need to print some UDF on Journal Vouchers, but can't choose  any UDF in Print Layout Desinger.
    Any Comments?

    Hi Gordon,
    Thanks for your reply.
    I make the 2 UDF on Journal Vouchers (row level), this setup both in Journal Entry.
    1. BP Code (format search)
    2. BP Name (format search)
    In Journal Entry PLD, i can select BP Code & BP Name in database field, but in Journal Vouchers PLD can't select this in database field.
    Journal Vouchers PLD can't support UDF print out right?
    Thanks!
    Ricky

  • Error while posting to Tax Journal Entry for sales and use tax

    Hi,
    I am trying to post a journal entry (FB50) to cleanup and correct the liability on our sales and use tax. All  lines are giving warnings and messages.Give me a suggestion  on how to get it to post .  Or if needed, another solution to correcting the balances in the sales and use taxes.
    But the entry to a/c # 226530 is giving an information message but still wouldnu2019t save.
    The Error message is
    Enter the tax base amounts for account 226400 in company codeAFCO
    Message no. F5A375
    Diagnosis
    You are posting directly to a tax account. Enter the tax base amounts per item using the function "Tax Amounts".
    Kindly help me how to fix the above issue.
    Thanks
    Suvarna

    You may want to check out the following notes... they may shed some light on your problem.
    681930 - Posting on tax account possible w/o specific. of base amount
    1090096 - FB60 / MIRO - Checking direct tax after change (F5A375)
    944978 - FB60 / MIRO - check of direct tax after change

Maybe you are looking for

  • Dont have any sound at my computer due to error code 39.

    I have not sound at all. At Device manager I see  yellow marked devices, giving me the code error 52 ("Windows cannot verify the digital signature for the drivers required for this device. A recent hardware or software change might have installed a f

  • SmartView function to validate member existence in application

    Hello, just a question following my HypFindMember issue. Is there a SmartView function that can validate if a member exists in a HFM application tree? Thank you in advance

  • What we can do with BizTalk  in SAP R/3 (Scope)

    Hai All, What we can do using BizTalk server in SAP R/3. What is the scope of BizTalk server in SAP R/3.   Please give me related documents... Thanks&Regards, Sri Krishna Charan

  • Incomplete billing

    I have a sales order with 4 line items I did delivery for one item Can i make billing of that one line item, which is delivered??? if yes how?? when the delivery document is created, i went to VF01 and gave that document number and it says incomeplet

  • Can i uninstall this???

    Hey guys, I just updated my old "java 2 runtime environment, SE v1.4.2_01" to the new update thats: "J2SE Runtime Environment 5.0 Update 2." I was wondering, since i updated to the Java Update 2, can i now uninstall the old one?? Or should i keep the