Problems after using LIST_TO_ASCI

Hi Experts ,
i am facing an uphill task after using the Function Module LIST_TO_ASCI.
CALL FUNCTION 'LIST_TO_ASCI'
   EXPORTING
     list_index               = -1
   WITH_LINE_BREAK          = ' '
IMPORTING
   LIST_STRING_ASCII        = list_string
  LIST_DYN_ASCII           =
  TABLES
     listasci                 = ascitab
     listobject               = list_tab
EXCEPTIONS
  EMPTY_LIST               = 1
  LIST_INDEX_INVALID       = 2
  OTHERS                   = 3
I use this function as above .
Now the values in the ascitab are in string format
i used submit report for FS10N transaction .
Now after submit
then LIST_FROM_MEMORY'
then LIST_TO_ASCII
i get the value in string
now my problem is that it displays exactly how *fs10n* dispalys the whole output
i want only the last field value .
that is the cumlative  balance value that is practially speaking the last field in the FS10N report .
How can i achieve that using this ASCITAB table obtained from LIST_TO_ASCI

Hi Experts ,
i am facing an uphill task after using the Function Module LIST_TO_ASCI.
CALL FUNCTION 'LIST_TO_ASCI'
   EXPORTING
     list_index               = -1
   WITH_LINE_BREAK          = ' '
IMPORTING
   LIST_STRING_ASCII        = list_string
  LIST_DYN_ASCII           =
  TABLES
     listasci                 = ascitab
     listobject               = list_tab
EXCEPTIONS
  EMPTY_LIST               = 1
  LIST_INDEX_INVALID       = 2
  OTHERS                   = 3
I use this function as above .
Now the values in the ascitab are in string format
i used submit report for FS10N transaction .
Now after submit
then LIST_FROM_MEMORY'
then LIST_TO_ASCII
i get the value in string
now my problem is that it displays exactly how *fs10n* dispalys the whole output
i want only the last field value .
that is the cumlative  balance value that is practially speaking the last field in the FS10N report .
How can i achieve that using this ASCITAB table obtained from LIST_TO_ASCI

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