Recon for Vendor Master

HI Guru's,
How to system identify the Recon account for vendor master.. what is the link between vendor master and GL..
regards
Dhana

Dear ,
In general manner Recon account is compulsory field.
When any transaction would be done it automaticaly upadated Recon account.
All transaction effect of vendor will be get impect by GL.through Recon account.
Hope above will useful
GOPAN

Similar Messages

  • Report for vendor master changes

    Good day,
    Please can you assist with this issue,
    Report S_ALR_87012089,program RFKABL00
    Version ECC 6.0
    This report does not reflect the old and the new values for changed bank details.
    It does not show anything under the old value and shows **deleted** and **created** for new values.
    Thanks in advance

    You will have to do configuration in T Codes OBAT and OBAU to achieve what you want in the report.
    Check the IMG activity documentation for the following.
    SPRO -> IMG -> Financial Accounting -> Accounts Receivable and Accounts Payable -> Vendor Accounts -> Master Records -> Preparations for Changing Vendor Master Records -> Define Field Groups for Vendor Master Records.
    SPRO -> IMG -> Financial Accounting -> Accounts Receivable and Accounts Payable -> Vendor Accounts -> Master Records -> Preparations for Changing Vendor Master Records -> Group Fields for Vendor Master Records.
    Also read the RFKABL00 program documentation.

  • Upload program for vendor master

    Hi Friends,
    Could you please help me in this.
    actually i have a program like this:
    i have to download the data from an excel sheet and reformat it and output into a text file so that the data can be uploaded into vendor master using standard progarm
    <b>"RFBIKR00".</b>
    i have written the program like this:
    but in the middle when formatting the data...i'm facing the problem....
    plz help me in solving that...
    thnx very very much...........
    the program i wrote is like this:
    <b>
    tables: lfa1,             
            lfb1,             
            lfm1,             
            lfbk,             
            bnka,             
            bgr00,            
            blf00,            
            blfa1,            
            blfb1,           
            blfbk,           
            blfm1,           
            blfb5,           
            blfbw,           
            blfei,           
            blfza,           
            blflr,           
            blfm2,           
            bwyt3,           
            bwyt1,           
            blfat.           
    *--- Internal table for spread sheet.
    data: t_filedata like alsmex_tabline occurs 0 with header line.
    *--- Internal table for Vendor Master Data in Spread Sheet.
    data: begin of t_sheet occurs 0,
            name1 like lfa1-name1,           "vendor name1
            name2 like lfa1-name2,           "vendor name2
            altkn like lfb1-altkn,           "previous master record number
            bukrs like lfb1-bukrs,           "company code
            ekorg like lfm1-ekorg,           "purchase organization
            ktokk like lfa1-ktokk,           "account group
            stras like lfa1-stras,           "street
            street4 like lfa1-name4,         "street4
            pfach like lfa1-pfach,           "po box
            ort01 like lfa1-ort01,           "city
            regio like lfa1-regio,           "region
            pstlz like lfa1-pstlz,           "postal code
            land1 like lfa1-land1,           "country
            telf1 like lfa1-telf1,           "first telephone number
            telfx like lfa1-telfx,           "first fax number
            stcd1 like lfa1-stcd1,           "fed tax ID#
            brsch like lfa1-brsch,           "commodity code
            akont like lfb1-akont,           "reconciliation account
            mindk like lfb1-mindk,           "monitory indicator
            zwels like lfb1-zwels,           "payment method
            reprf like lfb1-reprf,           "check double invoice
            banka like bnka-banka,           "bank name
            stret like bnka-stras,           "house number and street
            city  like bnka-ort01,           "city
            provz like bnka-provz,           "bank state
            banks like lfbk-banks,           "bank country
            swift like bnka-swift,           "swift code
            bankl like lfbk-bankl,           "aba#
            bankn like lfbk-bankn,           "bank account no
            zterm like lfb1-zterm,           "payment terms
            terms like lfm1-zterm,           "terms of payment key
          end of t_sheet.
    *--- Internal table for Vendor Master data in Text File.
    data: begin of t_file occurs 0,
            s_session type bgr00,
            s_header  type blf00,
            s_blfa1   type blfa1,
            s_blfb1   type blfb1,
            s_blfbk   type blfbk,
            s_blfm1   type blfm1,
            s_blfbk   type blfbk,
            s_blfb5   type blfb5,
            s_blfza   type blfza,
            s_blfm1   type blfm1,
            s_blfat   type blfat,
            s_bwyt1   type bwyt1,
            s_bwyt3   type bwyt3,
            s_blfm2   type blfm2,
            s_blfei   type blfei1,
            s_blfbw   type blfbw,
            s_blflr   type blflr,
         end of t_file.
                       SELECTION SCREEN                          *****
    *---Selection Parameters.
    selection-screen begin of block b1 with frame title title1.
    parameters: p_xlfile like rlgrap-filename.
    parameters: p_txfile type rlgrap-filename.
    selection-screen end of block b1.
                       INITIALIZATION                            *****
    initialization.
    *---Initialize text fields for selection-screen.
      title1 = 'Selection Parameters'.
                       AT SELECTION-SCREEN                       *****
    at selection-screen.
    at selection-screen on p_xlfile.
       perform check_file using p_xlfile.
    at selection-screen on value-request for p_xlfile.
       perform select_file using p_xlfile.
                       START-OF-SELECTION                        *****
    start-of-selection.
       clear t_sheet.
       refresh t_sheet.
    *---Upload Spreadsheet.
       perform read_file using p_xlfile.
    *---Process data into formatted internal table.
       perform format_data.
            append t_file.
         clear t_file.
       endloop.
    *---Download data to Text file.
       perform download_data.
                       TOP-OF-PAGE                               *****
    top-of-page.
       perform top_of_page.
                       S-U-B-R-O-U-T-I-N-E-S                     *****
           Form TOP_OF_PAGE
          Calling the Standard Report Header
    form top_of_page.
       perform header using 'CREATE FILE FOR'
                            'VENDOR MASTER UPLOAD'
                            132.
       skip 2.
    endform.                        "TOP_OF_PAGE
         Form check_file                                              **
         Checking the File entered                                    **
    data: p_filename type string.
    form check_file using p_filename.
    *---The entered File must be Excel spreadsheet.
      data: l_length type i,
            l_ext(4) type c.
      l_length = strlen( p_xlfile ).
      subtract 4 from l_length.
      l_ext = p_xlfile+l_length(4).
      translate l_ext to upper case.
      if l_ext <> '.XLS'.
         message e009 with 'Only Excel spreadsheets are supported'.
      endif.
    *---Check if File exits and not empty.
      data: l_return(10) type c.
      CALL FUNCTION 'WS_QUERY'
           EXPORTING
                FILENAME             = p_filename
                QUERY                = 'FL'
           IMPORTING
                RETURN               = l_return
           EXCEPTIONS
                INV_QUERY            = 1
                NO_BATCH             = 2
                FRONTEND_ERROR       = 3
                OTHERS               = 4
      IF l_return = space or l_return = '0'.
         message e530(pj) with p_filename.
      ENDIF.
    endform.                        "CHECK_FILE
         Form select_file                                              **
    form select_file using p_filename like rlgrap-filename.
      CALL FUNCTION 'KD_GET_FILENAME_ON_F4'
           EXPORTING
              PROGRAM_NAME        = SYST-REPID
              DYNPRO_NUMBER       = SYST-DYNNR
              FIELD_NAME          = ' '
                STATIC              = 'X'
                MASK                = ',MS Excel (.xls),.xls.'
           CHANGING
                FILE_NAME           = p_filename
           EXCEPTIONS
                MASK_TOO_LONG       = 1
                OTHERS              = 2
    IF SY-SUBRC <> 0.
      MESSAGE e838(29) with p_filename.
    ENDIF.
    endform.                        "SELECT_FILE
         Form read_file                                                **
    form read_file using p_filename like rlgrap-filename.
    *---Display status message for User.
    CALL FUNCTION 'SAPGUI_PROGRESS_INDICATOR'
           EXPORTING
                TEXT             = 'Uploading Spreadsheet'
    *---Upload spreadsheet.
    CALL FUNCTION 'ALSM_EXCEL_TO_INTERNAL_TABLE'
           EXPORTING
                FILENAME                      = p_filename
                I_BEGIN_COL                   = 1
                I_BEGIN_ROW                   = 1
                I_END_COL                     = 256
                I_END_ROW                     = 65536
           TABLES
                INTERN                        = t_filedata
           EXCEPTIONS
                INCONSISTENT_PARAMETERS       = 1
                UPLOAD_OLE                    = 2
                OTHERS                        = 3
    IF t_filedata[] is initial.
    message i009 with 'NO DATA FOUND IN FILE' p_filename.
    stop.
    ENDIF.
    sort t_filedata by row col.
    endform.                        "READ_FILE
         Form format_data                                              **
    form format_data.
      data: l_index type i.
      field-symbols: <fs1>.
    *---Display status message for user.
    CALL FUNCTION 'SAPGUI_PROGRESS_INDICATOR'
           EXPORTING
                TEXT             = ' Processing Data...'
      loop at t_filedata.
        l_index = t_filedata-col.
        assign component l_index of structure t_sheet to <fs1>.
        <fs1> = t_filedata-value.
        at end of row.
           append t_sheet.
           clear t_sheet.
        endat.
      endloop.
        refresh t_filedata.
        free t_filedata.
    endform.                        "FORMAT_DATA
         Form download_data.
    form download_data.
    OPEN DATASET p_txfile for OUTPUT.
      LOOP at t_file.
         TRANSFER t_file to p_txfile.
      ENDLOOP.
    CLOSE DATASET p_txfile.
    IF SY-SUBRC = 0.
      WRITE: / 'Excel to Textfile for Vendor Master Upload: ', P_TXFILE.
    ENDIF.
    endform.                    "DOWNLOAD_DATA</b>

    Hi!
    You don't need to program the 'translation' from a file into input data for RFBIKR00 yourself. SAP has done this, so that you can do this (nearly) without programming. If you need some special conversion rules, then you can add some coding, but most is possible without.
    Have a look at transaction LSMW. It's not so complicated it looks at the first time. Just look at <a href="http://help.sap.com/saphelp_erp2004/helpdata/en/ad/2d54a41d7011d2b42e006094b944c8/frameset.htm">help</a> for the way to use LSMW.
    Regards,
    Christian
    P.S.: sorry for lost your efforts, but you should switch to LSMW

  • Error in the LSMW for vendor master using standard batch/direct input

    I am facing the problem in the LSMW for the Vendor master data. The vendor is initially created for the company code 350 by using LSMW. NOw when I try to uploasd the same vendor using the same LSMW for the company code 450 then I get the error in the Bach input creation as follows:
    Batch Input Interface for Vendors
    FB012                    Session 1 : Special character for 'empty field' is /
    FB007                    Session 1 session name VNDR_CREATE_ was opened
    FB104                    Trans. 2 XK01 : Acct already exists; general area not being processed
    FB125                    ... Data in table BLFA1 cannot be processed
    FB016                    ... Last header record ...
    FB014                    ... BLF00-STYPE 1
    FB014                    ... BLF00-TCODE XK01
    FB014                    ... BLF00-LIFNR 300951
    FB014                    ... BLF00-BUKRS 402
    FB014                    ... BLF00-EKORG /
    FB014                    ... BLF00-KTOKK VEND
    FB017                    ... Last data record ...
    FB014                    ... BLFA1-STYPE 2
    FB014                    ... BLFA1-TBNAM BLFA1
    FB014                    ... BLFA1-ANRED /
    FB014                    ... BLFA1-NAME1 SAVOIE AUTOMATISME DEXIS
    This is because when we use XK01 to create the vendor by using the

    Please check this answered link:
    Re: LSMW for Vendor Master
    LSMW Upload vendor master data
    Edited by: Afshad Irani on May 5, 2010 12:42 PM

  • Solved - Group Fields for Vendor Master Records in IMG

    This was the solution.
    The new field's data element I added to LFB1 did not have the "change document" field checked.  I made that change and now that field shows up in IMG.
    Hello all,
    I added an append structure to the table LFB1.  This structure has 1 field.  I then created a "Modification-Free Enhancement of Vendor Master Record" to add the new LFB1 field to the vendor master screen, edit and display screens.  This is the 3rd time I have done this.  So far so good.
    Now our functional analyst went into IMG to add this new LFB1 field to a "Group Fields for Vendor Master Records" which we have done 2 other times.
    The new LFB1 field does not show up in the list of possible Table-fields.  
    There must be some other step I am missing.
    Does any of this ring a bell?  We are on version 4.7.
    Thanks
    Bruce
    p.s.
    This is the IMG path for adding 'Field Groups' to vendor master fields.
    Financial Accounting/
    Accounts Receivable and Accounts Payable/
    Vendor Accounts/
    Master Data/
    Preparations for Creating Vendor Master Data/
    Group Fields for Vendor Master Records
    Edited by: Bruce Tjosvold on Nov 21, 2008 1:18 PM

    Hi Vandana,
      There are several tables that are contain Vendor Master related data which can be used for extraction to BW. Some of the tables which can be useful for you are:
    LFA1 :  Vendor Master (General Section)
    LFM1 :  Vendor master record purchasing organization data
    LFBW : Vendor master record (withholding tax types) X
    WYT3 :  Partner Functions
    LFBK : Vendor Master (Bank Details)
    LFB1:  Vendor Master (Company Code)
    ADRC: Addresses (Business Address Services)
    ADR3: Fax Numbers (Business Address Services)
    ADR6: SMTP Numbers (Business Address Services)
    ADRT: Communication Data Text (Business Address Services)
    You may use the Data sources mentioned in the previous update from Venky above namely :
    0VENDOR_ATTR --- for master data attributes
    0VENDOR_TEXTS -- For texts
    Since the fields that you are using are from different tables so its better if you go for a Generic Data source where you can use the fields as per your requirement.
    Thanks
    Pawan
    Edited by: pawan190187 on Aug 19, 2011 12:40 PM

  • Validation for vendor master data creation

    Dear All,
    Can anybody suggest how to apply validation while creation of vendor master data. As this can not be done through GGB1 as it is ment for document level validation. Please suggest any user exit or badi or validation path for this.
    Thanks & Regards

    hi,
    the enhancement for vendor master is SAPMF02K, you can easily add your own check, pls. check in tcode SMOD!
    hope this helps
    ec
    >
    Srinivasa Maruvada wrote:
    > Hi
    >
    > Check TCode for validation OB28, for substitution OBBH
    > and also OKC9 which may helps you.
    > Cheers
    > Srinivas
    your post is rubbish, substitutions and validations are in use in document posting, not for master data creation. Even the OP told this, when he asked his question...

  • Match code for Vendor Master Data on PAN

    Hi
    Vendor match code will work only if the name are identical. But for the same vendor, user create multiple vendors.
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    Hence the match code check is over ridden.
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    There is no field for PAN number in match codes field.
    Please suggest how it can be maintained

    Hi ,
    Use the exit SAPMF02K , which is specially ment for vendor master data .
    Cheers ,
    Dewang

  • Upload program for Vendor master Partner Data in XK02 needed info

    Hello Experts,
    I need to write data uplaod program for XK02 for vendor master Partner functions. ( Basically we created some custom partner functions and attach it to many existing vendors ).
    So kindly advice me which is the suitable upload method for this.
    1) There is no BAPI available for editing vendors.
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    Thanks and rgds,
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    For the IDOC perspective, you can uses CREMAS.
    For the mass maintenance you still have XK99 (which also uses CREMAS internally)
    True there is NO BAPI
    For the BDC and the table control. Well this is not really true.
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    Edited by: Alain Bacchi  on Jun 18, 2008 8:48 AM

  • Need upload program for Vendor master partners (XK02)

    Hello Experts,
    I need to write data uplaod program for XK02 for vendor master Partner functions. ( Basically we created some custom partner functions and attach it to many existing vendors ).
    So kindly advice me which is the suitable upload method for this.
    1) There is no BAPI available for editing vendors.
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    Thanks and rgds,
    Anand

    Hi,
    You can use LSMW --> Vendor Master which supports bothe XK01 and XK02.
    This is a standard Batch input program (RFBIKR00). Look at this program documentation for more info.
    Regards
    Sudhir Atluru

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  • Hi what is the transaction code for vendor master delete

    hi
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    Hi
    There won't be any Deleting of customer and vendor completely
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    FK05                   Block Vendor (Accounting)
    MK05                   Block Vendor (Purchasing)
    XK05                   Block Vendor (centrally)
    FD05                   Block Customer (Accounting)
    VD05                   Customer Block (Sales)
    XD05                   Block customer (centrally)
    <b>Reward points for useful Answers</b>
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  • Can validation check can be set for vendor master record .

    Hi Experts ,
    User wants to remove two existing payment methods,instead of removing i think to set validation for the vendor master record .
    can validation can be set for vendor master record ?
    PLease suggest me with advice.
    Thanks
    Pardha

    Hi,
    To my knowledge, validation can be set up for accounting document.
    Though a work around, create a validation such that
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    Regards,
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  • I am facing problem while working for userexit for vendor master and Editor

    Hi,
    I am working one userexit for vendor master. My objective is after MK01 transaction, I want to attach MM01 transaction using userexit SAPMF02K on IDES version.
    1) Function module is EXIT_SAPMF02K_001 and Include is ZXF05U01.
      while duble click on Include is ZXF05U01, I am getting below error.
      (Program names ZX...are reserved for includes of exit function groups).
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        I want to create a sub menu in ABAP Editor under Utilities->Customer Exit.
       If double click on Customer exit then MM01 should be called.
       So I got one userexit SEU00001  and Function module under that EXIT_SAPLEDITOR_001  and incluse is ZXSEUU21
       If I double click on ZXSEUU21 then same error getting displayed
       (Program names ZX...are reserved for includes of exit function groups).
    Can any one help me to resolve this.
    Waiting for quick response.
    Best Regards,
    BDP

    Hi Bansidhar.,
    If you have created the include with same name and implemented youe logic , then it should stop in your include when you have put breakpointin it.
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  • LSMW for Vendor Master (t-code XK01)

    Hi guys,
    I'm creating a LSMW for Vendor Master (t-code XK01) using direct input but the following error message appears:
    In the step "Create batch input session", I get the following error:
    FB012 Session 1 : Special character for 'empty field' is /
    FB007 Session 1 session name VENDOR was opened
    FB112 Trans. 1 : No transaction code was transferred
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    FB014 ... BLF00-LIFNR DETES998
    FB014 ... BLF00-BUKRS /
    FB014 ... BLF00-EKORG /
    FB014 ... BLF00-KTOKK 0001
    FB013 ....Editing was terminated
    I mapped the TCODE filed using xk01 and the same error still displays; in the first step I select Object 0040, method 0002 and the program is RFBIKR00, is this correct?
    Some of the fields are stored ina different table; How can I mapped this fileds?
    Any you can provide will be great......

    Hi,
    Are you getting this error immediatly or later half?
    1. This could be with same Vendor number which would be existing in the system.
    2. Data inconsistencies.
    What are the flat files that you have is it a single file or more than one?
    Thanks,
    Prashanth

  • BAPI for Vendor master?

    Hi Folks,
    1.Is there any BAPI available for Vendor Master?
    2.In LSMW if I am having a flat file of 4 records and I am updating only one of them which one will get uploaded? All the 4 or only the one which I had updated?
    I had never worked on LSWM,so kindly let me know.
    3.Do anyone here have a bdc for XK01?
    K.Kiran.
    Message was edited by:
            Kiran K

    Hi
    Go to trxn BAPI, go by Alphabetical tab, check the BAPIs available for Vendor.
    If you have 4 records in the file, all 4 will be processed (doesnt mean they will be updated, depends if you have changed any data) even if you update one in the file.
    So, for a file of 4 records (with only 1 updated rrecord)
    Processed records: 4
    Updated records: 1
    Regards,
    Raj

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