Reconciling 0COOM_C02 data with R/3
Hi,
There are some reports created on 0COOM_C02 and I need to do reconciliation with the R/3. Please let me know if there are any transactions , Tables or standard reports to reconcile the data in 0COOM_C02 cube.
Appreciate your help.
Regards,
Raghu Reddy
Guys appreciate if any one can help.
Regards,
Raghu Reddy
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hi Xperts,
Can any body give me the step by step Procedure To check the Data in Inventory Cube OIC_C03?.
I am presently checking the data with the Extractor checker data in the source system. is it correct?.
Any Ideas ?.
Plz help me in this Aspect.Hai Nrupal,
Reconcilation:
Reconcilation is the process of comparing the data after it is
transferred to the BW system with the source system. The procedure to
do reconcilation is either you can check the data from the SE16 if the
data is coming from a particular table only or if the datasource is
any std datasource then the data is coming from the many tables in
that scenario what I used to do ask the R/3 consultant to report on
that particular selections and used to get the data in the excel sheet
and then used to reconcile with the data in BW . If you are familiar
with the reports of R/3 then you are good to go meaning you need not
be dependant on the R/3 consultant ( its better to know which reports
to run to check the data ).
How to do Reconciliation?
There are two ways for Reconciliation
1) Create Basic Cube and load the data from the source system. In the
same way create another cube of type Virtual cube. After creating
those two cubes, create one multiprovider by using the Basic Cube and
Virtual Cube, in the Identification of the Multiprovider select two
cube. Then go to reporting create the query and write on formule to
compare the values of these two cubes.
2) See the contents of the basic cube which is there is BW. In that
screen one Button is there as "SAVE AS". Click that button and select
as "Spread sheet". Save as .xls.
In the Source system side also go to T-Code RSA3, select your data
source which you assigned to the basic cube. Click on execute and see
the contents. Now again here also select the "SAVE AS" button and
select the spread sheet and save under .xls file. Ok now your two flat
file are ready. Now move one file into other by using "move copy". Now
two flat files are in one excel sheet only in different sheets. Now
write a formula to compare the values of sheet 1 and sheet 2 in either
in sheet1 or sheet2.
Regards
Prshanth k
Asign points if helpfull. -
Reconciling labor costs with GL
Hello,
I have an issue reconciling labor costs with GL.
The report "Generate Cost Accounting Events Report" shows the total amount for labor cost transactions as $10M
wheres after running the "PRC Create accounting" the journal posted in GL is only $9M.
How do i find out the discrepencey of $1M. Are there any reconciliation reports available to compare the transactions between GL and PA.
Note: There is no data in gl interface and there is no exceptions reported in distrubute labor costs ,and cost accounting event reportsLooks like there might be $1MN not accounted, check for expenditures labor and trying to do a export from expenditures inquiry screen for a date ranges and then compare with the report data
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Thanks
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Open Hub: How-to doc "How to Extract data with Open Hub to a Logical File"
Hi all,
We are using open hub to download transaction files from infocubes to application server, and would like to have filename which is dynamic based period and year, i.e. period and year of the transaction data to be downloaded.
I understand we could use logical file for this purpose. However we are not sure how to have the period and year to be dynamically derived in filename.
I have read in sdn a number of posted messages on a similar topic and many have suggested a 'How-to' paper titled "How to Extract data with Open Hub to a Logical Filename". However i could not seem to be able to get document from the link given.
Just wonder if anyone has the correct or latest link to the document, or would appreciate if you could share the document with all in sdn if you have a copy.
Many thanks and best regards,
VictoriaHi,
After creating open hub press F1 in Application server file name text box from the help window there u Click on Maintain 'Client independent file names and file paths' then u will be taken to the Implementation guide screen > click on Cross client maintanance of file name > create a logical file path by clicking on new entiries > after creating logical file path now go to Logical file name definition there give your Logical file , name , physical file (ur file name followed by month or year what ever is applicable (press f1 for more info)) , data format (ASC) , application area (BW) and logical path (choose from F4 selection which u have created first), now goto Assignment of physical path to logical path > give syntax group >physical path is the path u gave at logical file name definition.
however we have created a logical path file name to identify the file by sys date but ur requirement seems to be of dynamic date of tranaction data...may u can achieve this by creating a variable. U can see the help from F1 that would be of much help to u. All the above steps i have explained will help u create a dynamic logical file.
hope this helps u to some extent.
Regards -
Extract Data with OPEN HUB to a Logical Filename
Hi Experts,
Can anybody help me in sending the link for How to guide...Extract Data with OPEN HUB to a Logical Filename?
Thanks in advance.
BWUserHi,
check this links...
http://searchcrm.techtarget.com/generic/0,295582,sid21_gci1224995,00.html
https://www.sdn.sap.com/irj/servlet/prt/portal/prtroot/docs/library/uuid/e698aa90-0201-0010-7982-b498e02af76b
https://www.sdn.sap.com/irj/servlet/prt/portal/prtroot/docs/library/uuid/1570a990-0201-0010-1280-bcc9c10c99ee
hope this may help you ..
Regards,
shikha -
How can we get Dynamic columns and data with RTF Templates in BI Publisher
How can we get Dynamic columns and data with RTf Templates.
My requirement is :
create table xxinv_item_pei_taginfo(item_id number,
Organization_id number,
item varchar2(4000),
record_type varchar2(4000),
record_value CLOB,
State varchar2(4000));
insert into xxinv_item_pei_taginfo values( 493991 ,224, '1265-D30', 'USES','fever','TX');
insert into xxinv_item_pei_taginfo values( 493991 ,224, '1265-D30', 'HOW TO USE','one tablet daily','TX');
insert into xxinv_item_pei_taginfo values( 493991 ,224, '1265-D30', 'SIDE EFFECTS','XYZ','TX');
insert into xxinv_item_pei_taginfo values( 493991 ,224, '1265-D30', 'DRUG INTERACTION','ABC','TX');
insert into xxinv_item_pei_taginfo values( 493991 ,224, '1265-D30', 'OVERDOSE','Go and see doctor','TX');
insert into xxinv_item_pei_taginfo values( 493991 ,224, '1265-D30', 'NOTES','Take after meal','TX');
select * from xxinv_item_pei_taginfo;
Item id Org Id Item Record_type Record_value State
493991 224 1265-D30 USES fever TX
493991 224 1265-D30 HOW TO USE one tablet daily TX
493991 224 1265-D30 SIDE EFFECTS XYZ TX
493991 224 1265-D30 DRUG INTERACTION ABC TX
493991 224 1265-D30 OVERDOSE Go and see doctor TX
493991 224 1265-D30 NOTES Take after meal TX
Above is my data
I have to fetch the record_type from a lookup where I can have any of the record type, sometime USES, HOW TO USE, SIDE EFFECTS and sometimes some other set of record types
In my report I have to get these record typpes as field name dynamically whichever is available in that lookup and record values against them.
its a BI Publisher report.
please suggestif you have data in db then you can create xml with needed structure
and so you can create bip report
do you have errors or .... ? -
Import data with nulls in Desktop Intelligence
Hello,
I have data with null values (in a measure). If I export the data as CSV it shows null values as #EMPTY. If I use that as a datasource, it loads #EMPTY as 0 (zero).
Is there a way to make desktop intelligence recognize null values? I tried to remove the #empty and just leave the column empty, it still loads as a numeric zero.
Same (actually worse) for XML. It seems if I export my data to XML it can not use that as a datasource. Odd. So I created the following XML file:
<?xml version='1.0' encoding='UTF-8'?>
<data>
<item key="AAAAAEUK" value="130" category="A" />
<item key="AAAACGDC" value="66" category="A" />
<item key="AAAADNJP" value="56" category="A" />
<item key="AAAAFWRQ" value="222" category="A" />
<item key="AAAAGITU" category="B" />
</data>
I would expect the value field to be null for the last row. But the values turns out to be 222! If I try to put anything else, an empty string "", "#EMPTY", "null", it is always returned as 0.
This is a problem because 0 an null are differnt when computing averages.Hi Florian,
What is the source of your csv data?
If I have a table in excel with empty cells, the data goes into the .csv as nothing so your example would look like
Item key,value,category
AAAAAEUK,130,A
AAAACGDC,66,A
AAAADNJP,56,A
AAAAFWRQ,222,A
AAAAGITU,,B
This reads in just fine in DeskI (shows #EMPTY in the view data, treats it as such in the report).
So I would look to get the data generated in right way, then DeskI can handle it, no problem.
If all else fails, just run a search&replace and change ,#EMPTY, to ,,
BTW if you have an alphanumeric value in a column where DeskI already decided there should be numeric,
it will read in as 0, that is why the #EMPTY string value got transformed to zero.
Good luck,
Marianne -
Dynamic SQL and Data with Single Quotes in it.
Hi There,
I have a problem in that I am using dynamic SQL and it happens that one of the columns does contain single quotes (') in it as part of the data. This causes the resultant dynamic SQL to get confused as the single quote that is part of the data is taken to mean end of sting, when in fact its part of the data. This leaves out a dangling single quote that was meant to enclose the string. Here is my dynamic SQL and the result of the parsed SQL that I have captured:
****Dynamic SQL*****
l_sql:='select NOTE_TEMPLATE_ID '||
'FROM TMP_NOTE_TEMPLATE_VALUES '||
'where TRIM(LEGACY_NOTE_CODE)='''||trim(fp_note_code)||''' '||
'and TRIM(DISPLAY_VALUE)='''||trim(fp_note_text)||''' ';
execute immediate l_sql INTO l_note_template_id;
Because the column DISPLAY_VALUE contains data with single quotes, the resultant SQL is:
******PARSED SQL************
select NOTE_TEMPLATE_ID
FROM TMP_NOTE_TEMPLATE_VALUES
where TRIM(LEGACY_NOTE_CODE)='INQ' and TRIM(DISPLAY_VALUE)='Cont'd'
And the problem lies with the single quote between teh characters t and d in the data field for DISPLAY_ITEM. How can I handle this?
Many thanks,I have been reliably informed that if one doesn't enclose char/varchar2 data items in quotes, the right indices may not be usedI am into oracle for past 4 years and for the first time i am hearing this.
Your reliable source is just wrong. Bind variables are variables that store your value and which are used in SQL. They are the proper way to use values in your SQL. By default all variables in PL/SQL is bind variable.
When you can do some thing in just straight SQL just do it. Dynamic SQL does not make any sense to me here.
Thanks,
Karthick. -
Importing and Exporting Data with a Clob datatype with HTML DB
I would like to know what to do and what to be aware of when Importing and Exporting data with a Clob Datatype with HTML DB?
Colin - what kind of import/export operation would that be, which pages are you referring to?
Scott -
Deletion of master data with / without SID
Hi Experts,
Client have requested for master data clean up.
Requirement:
"Several masterdata tables in Production system contain wrong entries. These entries should be cleaned up. The attached Excel contains the keys of the entries to be deleted"
Steps to be taken:
1. emptied/deleted content of all the cube.
2. delete data from master data
Help required:
What will be impact of deleting master data with SID when DSO data is not deleted.
What if i choose without SID option for deletiing master data
Regards
Suresh KumarHi Suresh,
Deleting master data is one critical job and ned to be very care ful.
First try to find out the where used list of that particular IO. delete data from all the CUBEs and DSOs. i don't think without deleting the transaction data from all the objects that you see from where used list, you will be able to delete the maste data.
System doesn't allow you, it will say "Not all selected data is deleted" Some message of this sort when you try deleting the master data.
If you are deleting the TD and master data, why do you need the SID to be spared, delete them too. next time you load the correct master data. the SIDs are again generated.
Go thru the below thread, this gives you lot if info on MD deletion.
[Re: SID Tables] -
Successive dates with last day of that month being added to succesive date
Hi ,
I have a piece of code that displays the succuessive dates from the given date to tilll date with a date interval of 30 days. My requirement goes some thing like this. since the given date is '26-nov-08' the next successive date should be the number of days in nov(30) added to '26-nov-08'. that will be around 26-dec-08. For this date it has to add the number of days in December(31) to '26-dec-08' and that turns out to be '26-jan-09'. and this must go on till date.
In the below code i have used 30 for the interval of 30 days but the interval has to the last day of the successive date's month( for dec the interval has to 31 and for january the interval has to be 31 and for february 28)
select to_date('26-nov-08', 'dd-mon-yy') + (level - 1) * 30
from dual
connect by level <= trunc((sysdate-to_date('26-nov-08', 'dd-mon-yy'))/30 )Please advicehi ,
the query sent by you is correct and could it be in corporated for this query :
SELECT TRUNC(inst_due_date) + (LEVEL-1 ) * (ilpa_term_type),iloan_code,LOAN_AMT,FEE_AMT,
LOAN_DATE,LOAN_STATUS_ID
FROM (
SELECT inst_due_date,sm.iloan_code,LOAN_AMT,
FEE_AMT,
LOAN_DATE,
LOAN_STATUS_ID,
decode(sm.ilp_term_type, 26 ,14,24,15,12,(select to_number(to_char(last_day(inst_due_date),'dd')) from dual)) as ilpa_term_type
FROM ST_IL_SCHEDULE sc,ST_IL_MASTER sm
WHERE sc.iloan_code = sm.iloan_code
AND sc.inst_num = (SELECT MAX(inst_num) FROM ST_IL_SCHEDULE b WHERE b.iloan_code = sc.iloan_code)
AND sc.iloan_code =123456789)
CONNECT BY LEVEL <= TRUNC((TRUNC(SYSDATE)-TRUNC(inst_due_date))/(ilpa_term_type) )
Here we are using the decode concept if ilp_term_type = 26 then 14 but we need to implement the code of adding the number of days to that month in place of this code :
select to_number(to_char(last_day(inst_due_date),'dd')) from dual:
Please advice -
Why does my phone use data with cellular data turned off?
I have problems with my iPhone 5 using data on its own. It usually happens at night, with all the apps closed and plugged in to charge (should be connected to my wifi). Recently, I started turning off my cellular data any time I'm at home out of desperation to save my data. Last night, my phone used 6MB of data with my data off, plugged in. I use My Data Manager to track, it matches up with AT&T's record of my data usage, so I'm pretty sure the app is not wrong. I have the 200MB plan, so I have to be very careful and it's incredibly frustrating to wake up and find 6MB gone when cellular data was turned off. Does anyone know what's going on? I haven't bothered calling Apple or AT&T, I never get anywhere with either one.
I'm not familiar with My Data Manager but from the name I would think it would tell you what app or apps have used the data and that might help narrow down the problem. If it doesn't have that information, you can go to Settings > Cellular > Use Cellular Data For and that shows usage by each app and if you click on System Services in that list it will also give details of that usage. The numbers are since you last reset the statistics (bottom of that screen). With a little time and detective work you may be able to identify the cause.
Also, there have been many discussions on various internet forums of AT&T (and other) reporting of the time of data usage not matching the actual time of the use. The usage numbers over a number of days for example are accurate but usage reported at 2AM may actually be a summary of some types of use that happened the previous day. -
My friend just sold me her ipad she got Jan 2013. The software says its up to date with iOS5.1.1, but when i try to download certain app it tells me I need to update to iOS6.0 or later but when i go to the setting there are no updates. so how do I add these apps? The person i bought it from doesnt know what generation becuase it was a present to her.
The way you download older apps for the older, original iPad 1, as I understand it, is if you have iTunes installed on a computer, you purchase / download the new, current app, in the iOS App Store in iTunes on your computer. Then, go back to your iPad and go to the App Store app on your iPad and find the same app there and download it.
When You select app to update/download, a message pop-up window appears asking if you want to download the last compatible version for your device (if one still exists ) tap OK and that should be it. -
iTunes Store for Windows. Everytime I try an access the iTunes Store it takes really long to connect and then it says iTunes store cannot be access. I think I am up to date with iTunes Verison, I Have 11.0.2.26 but no matter what I try it does not connect. HELP Please???
With those symptoms, I'd try the following document:
Apple software on Windows: May see performance issues and blank iTunes Store
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i have an iphone 4, i connect it to my laptop using the usb and then when connecting to itunes it says my phone is not up to date with itunes yet i cannot find an update 11.1 for my phones itunes? someone please help me.. kind regards
Itunes 11.1 is for your computer, not your iphone
It is required in order to sync with ios 7.
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