Quick method - Plant and due date to outstanding PO / SA DS items

Due to volumes, performance is an issue for a Z report.  Ideas on quickest method to get to outstanding PO items and SA Delivery Schedule items due on given dates for a single Plant.  There are other search criteria but I don't believe these will be tightly specified and Plant and due date (at EKET or EKES level, as applicable) are the prime ones.
Thanks,
Nick

Hi Veera,
I am using XI 3.0 TO SRM 5.0.
If you would like to ask me anything more please do.
Waiting for your reply.

Similar Messages

  • Quickest method - Plant and due date to o/s PO and SA items

    Due to volumes, performance is an issue for a Z report. Ideas on quickest method to get to outstanding PO items and SA Delivery Schedule items due on given dates for a single Plant. There are other search criteria but I don't believe these will be tightly specified and Plant and due date (at EKET or EKES level, as applicable) are the prime ones.
    Thanks,
    Nick
    Moderator message: please do not cross-post, one thread only per problem.
    Edited by: Thomas Zloch on Jun 9, 2011 11:02 AM

    OK. I've found a solution... which works if a customer never indicates different delivery dates on a same Sale Order.
    As you can see in the system information view, the field described as "Del. date" in the Sale Order lines is named <b>ShipDate</b> !
    So I simply use a FormatedSearch to change its content according to the Sale Order Document Due Date and the customer location.

  • Query on fetching the no.of days between Invoice date and due date in rtf template embedded BI Publisher Report

    Hi Experts,
    We have a requirement to fetch the value of 'No of days' between Invoice date and due date (Two variable date fields on the template) in an Analysis.
    Please let me know the procedure of how to achieve the same.
    Regards,
    Rev

    it's good for ideas but implementation a bit different
    Oracle Business Intelligence Publisher Report Designer's Guide
    This function provides a method to get the difference between two dates in the given locale. The dates need to be in "yyyy-MM-dd" format. This function supports only the Gregorian calendar. The syntax is as follows:
    <?xdoxslt:date_diff(‘format’, ‘YYYY-MM-DD’, ‘YYYY-MM-DD’, $_XDOLOCALE, $_XDOTIMEZONE)?>
    where
    format is the time value for which the difference is to be calculated
    Example:
    <?xdoxslt:date_diff(‘d’, ‘2006-04-08’, ‘2006-04-01’, $_XDOLOCALE, ‘America/Los_Angeles’)?>
    returns
    -7

  • Payment terms and Due date field gets emptied after residual clearing

    Hi
    There is advance of Rs.50000 in Vendor ledger and Invoice of Rs.200000 (with payment term - G019)
    I cleared these two line items (residual clearing). One new line item got created of Rs.150000. When i saw that line item, i saw that there payment term field and due date field got emptied. My requirement is that the original payment term entered in initial invoice document (of Rs.200000) should automatically get populated in new line item of Rs.150000.
    How to fulfill this requirement?

    Thanks for the prompt reply.
    I wanted to ask one more thing. Same way when i do partial clearing (not residual), is it possible to populate the invoice's due date in advance line item. One link is that my invoice reference gets populated advance line item. So i want due date (not payment term) also to get populated in advance line item.
    Please help.
    Edited by: Deepak Agrawal on Jul 29, 2011 11:43 AM

  • Posting Date, Document Date and Due Date as same

    Hi All
    I would like to make Posing date , Document Date and Due date as same
    The movement i enter Posting date it should automatically carry the same value to Due date and Document date field . How can i make it
    Regards
    Rashid

    Dear Gordon
    Thanks, it is working for Marketing documents,
    I would like to have the same for JE and JV
    Regards
    Rashid

  • Look for 'Purchase Order' and 'Due date' Tables

    Hi Everyone,
    iam creating a Form for an automatic payment and i have some difficulties to find the table of these fields :
    - Purchase Order (EBELN)
    - Due date (NETDT)
    Please can u help me?
    Regards.

    I hope you checked these tables.
    I found these on Where-used for your NETDT field, Alos these tables have field BELNR which might intrests you.
      Table Fields                     Short descriptn
      BWPOS                            Valuations for Open Items
      FAEDT                            Due Date for Net Payment
      DKKOP                            Balance Audit Trail
      NETDT                            Due Date for Net Payment
      DKOKP                            Open Item Account Balance Audit Trail
      NETDT                            Due Date for Net Payment
      DSKOP                            Balance Audit Trail
      NETDT                            Due Date for Net Payment
      MHND                             Dunning Data
      FAEDT                            Due Date for Net Payment
    good luck,
    ags.

  • FIX: Change your Billing Cycle and Due Date!

    There are many people angry about the change in billing due dates that have been set by AT&T recently.  There is a way to get your due date back to where you want it but does require a little work on your part. NOTE: I am not an AT&T Employee, this is just advice from someone doing a little research! How the change works:First you will need to contact AT&T customer support (as this is just a customer to customer support forum so nobody here can make changes to your account). Let them know you want to change your billing cycle and due date. First month - you must complete your current billing cycleSecond month - you will have a prorated "short" cycle anywhere from 0-29 daysThird month - you will start with the billing cycle on the new date you select. There are a couple of other requirements below just so you are completely informed when talking to AT&T support. 
    Billing Cycle Change Requirements:
    Changing your billing cycle is NOT an option in all service areas so contact support at 800-331-0500 to find out if this option is available in your service area.
    Your billing cycle cannot be changed during the five days before or after the close of your current cycle. Your billing cycle cannot be changed if your account is in a delinquent status, or if the account will fall delinquent before the requested change date. If you have a payment arrangement set up, the payment arrangement must be made before the billing cycle is changed. If you have Autopay, you may see two Autopay drafts in one month due to the billing cycle change. Please keep in mind that when a billing cycle is changed you will see prorated charges to get all of the billing back on track with the new dates. Understanding that this does create an inconvenience for many people for the first 2 months you will be where you need to be after and back on track.  If anyone has anything to add please do so and I will update my post. 

    Hi there
    This is a great guide that will be very helpful to any of our customers who wish to change their bill cycle dates! I’d just like to thank you for posting this and add some further expectations.
    The balance on the prorated second invoice shows as Past Due on the customer's third invoice, even if it is not. The cycle change process does not impact their account status and corrects itself on subsequent bills. With regards to prorated charges, the customer is provided a video bill with their next statement to help explain the charges.
    Thanks!
    Charise

  • Function Module to get PO details based on Plant and PO date

    Hi
    1. Is there any Function Module to get PO details based on Plant and PO date?
    2. Is there any Function Module to get Material document details based on PO number?
    Thanks
    Narendra

    hi,
    check these standard reports.
    ME2L - By vendor
    ME2M - By material
    MSRV3 - By service
    ME2K - By account assignment
    ME2C - By material group
    ME2B - By tracking number
    ME2N - By PO number
    ME2W - By supplying plant
    also chck this func module.
    REPL_LIST_PURCHASE_ORDER_READ
    reward if hlpful.

  • Year of Cash Effectivity and Due Date for payments in following year

    Hi experts!
    I have a problem with Year of Cash Effectivity when dealing with invoices which have Due Date in a different year from the posting date. I just need revenues and expenses to be recognized under the accrual basis of accounting (with the invoice, not with "cash effectivity" depending on terms of payment). But we do need "cash effectivity" for commitments budget and MM.
    I am using Update Profile=000359, and have tried to "Override Update Profile" for Value Type=54 (Invoices) checking "Posting Date" for Payment/Commitment Budget, instead of "Due Date". I have also deactivated settings that have to do with payments transfer in <<Public Sector Management->Funds Management Government->Actual and Commitment Update/Integration->Integration>>.
    Is there any way to change this without changing Update Profile?
    Thanks for your help!
    Iván Garcí

    Hello Ivan
    I believe this note will help you:
    [Note 883122 - Spanish Public Sector: Specific functions (BAdIs and exits)|https://service.sap.com/sap/support/notes/883122]
    see this paragraph
      BAdI FMRI
      The method FMRI_BADI_9 allows the customer to change, according
      to their needs, the Year of Cash Effectivity in which FI
      documents are updated in Funds Management.
      The system performs some checks (for example the update profile
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      modification of the Year of Cash Effectivity in this BADI. The
      Year of Cash Effectivity determined in this BAdI cannot be
      earlier than the one for the date when the Financial Accounting
      payments are updated in Funds Management.For more detailed
      information on this topic, consult the note 1129408.
    hope this will help you!
    Kind regards
    Mar

  • Ageing Report on posting date and due date

    Hi
    I want to get customer ageing report on the basis of posting date (bill date) as well as due date (30days after posting date).
    Please let me know how to get two reports.

    Hi,
       check with this reports.
       s_alr_87012178 and s_alr_87012168
    regards,
    Radhika.

  • Dunning wizard and due date

    Hello
    We experience something wrong after running the dunning wizard : all invoices with a due date before 31st of October are not shown...
    Does anyone know how this can be corrected ? Is it due to the new year and different account period ?
    Thank you

    Hi,
    What is your financial year setting?
    Thanks,
    Gordon

  • Interest Calculation on posting date and due date

    Hi
    I want vendor interest calculation on due date as well as posting date. Let me know how to get it. According to me only its possible on the basis of one date only.

    HEllo!
    In the report RFINTITAR, you use the interest indicator customizing:                                                                               
    IMG   > Prepare Item Interest Calculation   > Ref. Date                                                                               
    (table V_T056UX)   >  field Ref.                                                                               
    (FI Item Interest Calculation: Reference Date)                                                                               
    You have the possibility to define what You need to be considered as 
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    1 Value Date (or Baseline Date for Net Payment)                      
    2 Document Date                                                      
    3 Posting Date                                                       
    4 Payment Baseline Date                                                                               
    As you can use one interest indicator per customer/vendor you can use only of the dates is used. But, in this
    program you can use the BADI FI_INT_CUS01. Please, check if you can meet your business requirements using the methods
    of the BADI.
    REgards,
    REnan

  • Post date and due date

    Hi all,
    can any  tell me what you mean by 'posting date' and 'net due date' and' clearing date'?
    what is the difference between them?
    Table is-BSID
    BUDAT-posting date
    ZFBDT-Baseline date for due date calculation
    AUGDT-clearing date.
    thank u
    sunny.

    BUDAT-posting date
    -> to determine the book-period (bkpf-monat)
    ZFBDT-Baseline date for due date calculation
    -> determine date when an obligation becomes due
    due date = zfbdt + bsik-zbd1t (or ZBD2t or ZBD3t)
    AUGDT-clearing date
    -> date when open-item becomes a cleared item
    by payment or reversal or...
    A.

  • Payment term configuration with installment and due date

    Hi,
      I have one requirement,  one paymne term we have as 40 % advance and 60 % after 45 Days,  in description it is as mention,  when we do the MIRO one accounting etry is generated in system we can check in FBL1N,  now as only one entry is created  and the due days are as we maintain in No. of days  so according to that the due date is calculated  but the requirement is system should show two due date  as 40 we have to pay advance  so for that for 40 paymne tamount is should so one due date  and for remianing amount it should show different due date, How to configure this.
    regards,
      zafar

    Hi,
      Can you help on this issue.
    regards,
    zafar

  • Special G/L indicator and due date

    Dear all,
    In FB01 when I post on customer account with special GL indicator, in the next screen the "due date" field is mandatory.
    I would like to fill this field automatically. I tried via substitution, but it doesn't seem to work with "due date".
    Do you have any suggestions please?
    Many thanks,
    Becky

    Hello,
    Please note that the due date field is as per standard design as per the SAP note 95079.
    Field BSEG-ZFBDT is hardcoded in most FI screens to be mandatory and cannot be influenced by any field status changes. This situation only valid when posting with special G/L indicator (downpayment).
    The reason behind this is that this special GL screen and the data entered here are very important to many other programs. This data affects liabilities and receivables where due date is necessary almost everytime.
    Could you try the following :
    - Change in SE51 the requirement condition (field attribute). However, this would be deemed as a modification to the standard
       system. You may be responsible for any negative consequences once decided to make such modification.
    - You can also try Use a substitution rule (like: if special GL = A and user = ...   and account = ... and.... then BSEG-ZFBDT = today). I am surprised to know that this doesn't work for you. Are you getting any error message while subsititution is triggered?
    Thanks for your cooperation and understanding.
    Best regards,
    Suresh Jayanthi.

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