Reg lsmw for customer master data transfer

Hello All,
I want to know while transfering data by lsmw for customer master data .
Scenario : There are more then one ship-to-party and bill to party so how to upload the data in this case?????
Thanks,
Sunny

hi
just refer to the link below
http://www.sapmaterial.com/?gclid=CN322K28t4sCFQ-WbgodSGbK2g   
<b>step by step procedure with screen shots</b>          
regards
vijay
<b>plz dont forget to reward points if helpful</b>

Similar Messages

  • Lsmw for customer master

    Can anyone give the steps to create a lsmw for Customer master(XD01) using recording method or Standard/Direct input method
    thanks,
    Dinesh

         Enter T-code LSMW
         Enter project name (LSMW-DEMO)
         Click on create entry button (shift+F1)
         Enter the description
         Press enter button
         Enter sub project name & description
         Press enter button
         Enter object & object name
         Press enter button
         Click on continue (F8) button
         System displays 21 steps
    (Focus on the 1st step)
    Step (1): - Maintain object attributes
         Click on object attributes
         Click on execute button (ctrl +F8)
         Click on display change (ctrl+F1)
         Click on batch INPUT recording (radio button)
         Click on go to and select recordings overview
         Click on u201Ccreate recordingu201Dbutton. (Ctrl+F1)
         Enter name (RECCUST) of recording & description (RECORDING FOR CUSTOMER)
         Enter owner (SAPUSER)
         Press enter button
         Enter the transaction code (VDOL)& press enter button
         Create CMR using the general process
         System displays the newly created customer number
         Click on default ALL
         System displays field names for which date is maintained
         Note these fields names in a text tile
         Click on save button
         Click on back button
         Click on back button
         Enter the recording name in recoding field ex RECCUST
         Press enter button
         Click on save button
         Click on back button
    Observation: -
    1) The cursor position is automatically changed to second step. After every step completion the cursor position is changed to succeeding step.
    2) Steps are reduced to 14
    Step (2) :- Maintain source structures
         Click on execute button
         Click on display change button
         Click on create a  structure button
         Enter source structure name 2 description,& 2 press enter button
         Click on save button
         Click on back button
    Step(3) :- Maintain source fields
         Click on execute button
         Click on display change button
         (note)try to maintain the source field names same as target  fields names
         Click on the source structure
         Click on copy fields button
         Select upload (text separated with tabs) & press enter button
         Click on save  button
         Click on back button
    Step (4) :- Maintain structure relations
         Click on execute button
         Click on display change button
         Observations :-source structure & target structure relations is already maintained
         Click on save button
         Click on back button
    Step (5) :- Maintain field mapping 2 convention rules
         Click on execute button
         Click on display change button
         Select the first field (under fields)
         Click on u201Cextrasu201D & select u201Cauto field mappingu201D
         Click on ok button(continue button)
         Click on accept proposal
         Continue clicking on accept proposal till all the fields are mapped
         System displays auto field mapping complete
         Press enter button
         Click on save button
         Click on back button
    Step(6) :- Maintain fixed values transudation user defined routines
         This step is optional
         We may use this when creation changes are to be made like dollar to euro etc.
    Step(7) :- Specify  files
         Select specify files
         Click on enecute button
         Click on display change button
         Click on legacy data
         Click on u201CAdd entryu201D button
         Specify the file name (customer records file path)
         Specify the name (CMR RECORDS)
         Click on tabulator
         Press enter button
         Click on save button
         Click on back button
    Step(8) :-Assign files
         Click on execute button
         Click on display change button
         Click on save button
         Click on back button
    Step(9):-import data
         Click on execute button
         Click on execute button again
         Observations:-transactions read & transactions written are same & and equal to the no. of records maintained in text file.
         Click on  back button
         Again click on back button
    Step(10) :-Display imported data.
         Click on execute button
         Press enter button.(imported data is displayed)
         Click on back button
    Step(11) :-Convert data
         Click on execute button
         Again click on execute button
         Observations :- transactions red & transactions written are same and are equal to records in the text file
         Click on back button
         Again click on back button
    Step(12) :-Display converted data
         Click on execute button
         Press enter button
         Click on back button
    Step(13) :-Create batch input session
         Click on create button
         Again click on execute button
         System displays a message saying that a u201Cbatch input folderu201D is created with specified number of transactions
         Press enter button
         Click on back button
    Step(14) :- Run batch input session
         Click on execute button
         Select the required u201Csession nameu201D and click on u201Cprocess buttonu201D
         Select u201Cforeground processu201D or u201Cbackground processu201Detc
         Click on u201Cprocess buttonu201D

  • Change Message Control for Customer Master data

    Hi Friends,
    I have to choose/populate a message when the user is about to create an already existing customer.
    In SPRO --> Financial Accounting --> Accounts Receivable and Accounts Payable --> Customer Accounts --> Master Data --> Preparations for creating customer master data --> "change message control for customer master data" ...
    OK...
    When u click this it goes into Change View "message control by User" Overview screen wherein u can insert new messages and texts and the type of message ....
    Now .....
    I want to display the 145th message (F4 help of the Message column) ..... it picks up the text "Customer found with same address;check"..... with Online mesasage type 'I' and batch type 'I' and with standard type '-' ..
    I want to have the same message with message types 'E','E', and 'I' respectively.......
    How is this possible (or) what should i do to meet my requirement :-|
    Expecting ur answers
    Thanks in advance ........
    Cheers,
    R.Kripa.

    Hey yes it is not possible (as of now
    I ve met the requirement by just using message statement in the program itself ............
    My requirement is met but still if anyone knows about this do answer / reply
    Thanks
    Cheers,
    R.Kripa.

  • Are there any set guidelines for customer master data cleansing.

    1) I was wondering if there are any set guidelines for customer master data cleansing.
    2) Part of the cleansing effort involves consolidating number of divisions etc. Any pointers to this regard?
    3) Also how do we deal with open docs, billing plans etc?

    The data cleansing requirement will take place, while move the data from legacy system to new target ERP / system. I.e. need to cleanse, enrich, de-duplicate, & standardize.
    The existing data may not have consistent format since it is often being derived from various sources. It may contain duplicate information as well missing or incomplete information. Cleanse and normalize content to achieve accuracy, consistency and proper understanding of the data.
    Also it’s a process of organizing the data, which will ensure enrichment of your data which are up-to-date, accurate, and complete. These processes are manual / labor intensive and require a fair bit of specialization.
    If you need to have more details please feel free to interact with us as per below.
    Thanks
    Kumar
    www deebrostech.com

  • LSMW for Material master data

    Hi,
    Anybody can help me, how to make LSMW for Material master data.
    Thanks in Advance
    Arjun

    pls follow the thread:
    http://help.sap.com/saphelp_46c/helpdata/en/f6/ca0766a7a911d1950500a0c930e0da/frameset.htm
    regards,
    indranil

  • Search for BAdi for Customer Master Data (XD01)

    Hi experts,
    i am looking for a BAdi for Customer Master data (XD01). Can anyone suggest me which one can i use?
    thanks in advance.
    Regards,
    aksh

    hi
    execute this report
    *& Report  ZNAGBADI
    REPORT  ZNAGBADI.
    *report zbadi_find .
    tables : tstc,
    tadir,
    modsapt,
    modact,
    trdir,
    tfdir,
    enlfdir,
    sxs_attrt ,
    tstct.
    data : jtab like tadir occurs 0 with header line.
    data : field1(30).
    data : v_devclass like tadir-devclass.
    parameters : p_tcode like tstc-tcode,
    p_pgmna like tstc-pgmna .
    data wa_tadir type tadir.
    start-of-selection.
    if not p_tcode is initial.
    select single * from tstc where tcode eq p_tcode.
    elseif not p_pgmna is initial.
    tstc-pgmna = p_pgmna.
    endif.
    if sy-subrc eq 0.
    select single * from tadir
    where pgmid = 'R3TR'
    and object = 'PROG'
    and obj_name = tstc-pgmna.
    move : tadir-devclass to v_devclass.
    if sy-subrc ne 0.
    select single * from trdir
    where name = tstc-pgmna.
    if trdir-subc eq 'F'.
    select single * from tfdir
    where pname = tstc-pgmna.
    select single * from enlfdir
    where funcname = tfdir-funcname.
    select single * from tadir
    where pgmid = 'R3TR'
    and object = 'FUGR'
    and obj_name eq enlfdir-area.
    move : tadir-devclass to v_devclass.
    endif.
    endif.
    select * from tadir into table jtab
    where pgmid = 'R3TR'
    and object in ('SMOD', 'SXSD')
    and devclass = v_devclass.
    select single * from tstct
    where sprsl eq sy-langu
    and tcode eq p_tcode.
    format color col_positive intensified off.
    write:/(19) 'Transaction Code - ',
    20(20) p_tcode,
    45(50) tstct-ttext.
    skip.
    if not jtab[] is initial.
    write:/(105) sy-uline.
    format color col_heading intensified on.
    Sorting the internal Table
    sort jtab by object.
    data : wf_txt(60) type c,
    wf_smod type i ,
    wf_badi type i ,
    wf_object2(30) type c.
    clear : wf_smod, wf_badi , wf_object2.
    Get the total SMOD.
    loop at jtab into wa_tadir.
    at first.
    format color col_heading intensified on.
    write:/1 sy-vline,
    2 'Enhancement/ Business Add-in',
    41 sy-vline ,
    42 'Description',
    105 sy-vline.
    write:/(105) sy-uline.
    endat.
    clear wf_txt.
    at new object.
    if wa_tadir-object = 'SMOD'.
    wf_object2 = 'Enhancement' .
    elseif wa_tadir-object = 'SXSD'.
    wf_object2 = ' Business Add-in'.
    endif.
    format color col_group intensified on.
    write:/1 sy-vline,
    2 wf_object2,
    105 sy-vline.
    endat.
    case wa_tadir-object.
    when 'SMOD'.
    wf_smod = wf_smod + 1.
    select single modtext into wf_txt
    from modsapt
    where sprsl = sy-langu
    and name = wa_tadir-obj_name.
    format color col_normal intensified off.
    when 'SXSD'.
    For BADis
    wf_badi = wf_badi + 1 .
    select single text into wf_txt
    from sxs_attrt
    where sprsl = sy-langu
    and exit_name = wa_tadir-obj_name.
    format color col_normal intensified on.
    endcase.
    write:/1 sy-vline,
    2 wa_tadir-obj_name hotspot on,
    41 sy-vline ,
    42 wf_txt,
    105 sy-vline.
    at end of object.
    write : /(105) sy-uline.
    endat.
    endloop.
    write:/(105) sy-uline.
    skip.
    format color col_total intensified on.
    write:/ 'No.of Exits:' , wf_smod.
    write:/ 'No.of BADis:' , wf_badi.
    else.
    format color col_negative intensified on.
    write:/(105) 'No userexits or BADis exist'.
    endif.
    else.
    format color col_negative intensified on.
    write:/(105) 'Transaction does not exist'.
    endif.
    at line-selection.
    data : wf_object type tadir-object.
    clear wf_object.
    get cursor field field1.
    check field1(8) eq 'WA_TADIR'.
    read table jtab with key obj_name = sy-lisel+1(20).
    move jtab-object to wf_object.
    case wf_object.
    when 'SMOD'.
    set parameter id 'MON' field sy-lisel+1(10).
    call transaction 'SMOD' and skip first screen.
    when 'SXSD'.
    set parameter id 'EXN' field sy-lisel+1(20).
    call transaction 'SE18' and skip first screen.
    endcase.
    reward for useful answers
    regards
    Nagesh.Paruchuri

  • Non-editable mode for customer master data in VA01 and VA02

    Hi all,
    User requirement is they don't want to give permission to change customer master data (payer & ship-to ). I didn't find any user exit to do screen non-editable.
    Can any one help me in this..
    Regards,
    Sudhakara

    Hi Sudhakar Reddy,
    For this transaction code user exits available :
    SDTRM001  Reschedule schedule lines without a new ATP check
    V45A0001  Determine alternative materials for product selection
    V45A0002  Predefine sold-to party in sales document
    V45A0003  Collector for customer function modulpool MV45A
    V45A0004  Copy packing proposal
    V45E0001  Update the purchase order from the sales order
    V45E0002  Data transfer in procurement elements (PRreq., assembly
    V45L0001  SD component supplier processing (customer enhancements
    V45P0001  SD customer function for cross-company code sales
    V45S0001  Update sales document from configuration
    V45S0003  MRP-relevance for incomplete configuration
    V45S0004  Effectivity type in sales order
    V45W0001  SD Service Management: Forward Contract Data to Item
    V46H0001  SD Customer functions for resource-related billing
    V60F0001  SD Billing plan (customer enhancement) diff. to billing
    For ur requirement whixh exit is suitable plz check it out. other wise put breakpoint for userexit and check it out.
    Rewards somr points.
    Rgds,
    P.Nag

  • Change Logs for customer master data in 3.1 H version

    Hello All
    Are they any existing reports or change logs for viewing changes to customer master data in 3.1h version.  I want to be able to report based on changes made to customer master.
    I know there is a good report in 6.0 version for this- S_ALR_87012182.
    If I have to develop a custom program for this in 3.1h. Which table I should use? KNA1 or CDPOS.
    Any ideas will be appreciated.
    Hema.

    Hi,
    Please check the filter settings maintained for the adapter object CUSTOMER in R3AC1. The same filter settings can be referred in tables Table: CRMFILTAB (R/3) and SMOFFILTAB(CRM) as per srinivas's reply.
    Check the sales area of the customer maintained (Sales Area, Division, Distribution Channel etc.) and see if the current filter settings are restricting the customer from getting replicated in CRM. If everything is maintained fine then check for any failure Bdocs in SMW01 or SMW02.
    Regards,
    K

  • Table name for Customer Master data-Changes

    Hi,
    I want to see the changes made in Customer Master Data where i can get this
    Scenario is like someone has changed the customer master data in past, We want to know who has changed it or when it has been changed
    from WHICH Table I can get this information?
    Note:
    I need the Table name only in which we can know who has changed it or when it has been changed or What are changed by them
    Thanks in advance,
    Best Regards,
    Chandramohan

    Dear Chandramohan,
    Try this option you can get the change details clearly
    Go to XD03 transaction enter your customer number and other details then go in to the general data from here you to Menu>Environment>Account changes-->Click on All fields now system will give the list of fields which were changed from these list you double click on the single field system will take you to the details of that again you double click on that now system will take you to more details about the changes.
    I hope this will help you,
    Regards,
    Murali.

  • LSMW for Customer master text upload

    Hi
    I would want to upload the customer master text using LSMW. I see a message type /DSD/HH_CUSTMASTEXT (Customer master additions) being available.
    has anybody used this for text upload??
    I am not sure how it works, i dont see the provision to enter the text unlike the "SAVE_TEXT function module.
    If any one of you have used it, kindly let me know.
    Thanks
    Manju

    Hi Srinivas,
    yes we could do the text upload using direct input method. I need to invoke it from web methods, it would be difficult with direct input method and hence i was looking for using IDOC's.
    Regards
    Manju

  • Problem extracting fields for customer master data upload

    Hello,
    I have a list of fields that I need to extract into a file to be used in a customer master upload. I am having a problem with two fields. they are MOB_NUMBER in SZA1_D0100 and KTONR in RF02D. I am not sure how to retrieve these fields. I do not know if there are FM's that will retrieve the data for me or not. if anyone knows if there are FM's or another way to retrieve this data, can you please let me know.
    thanks in advance for the help

    this has been corrected

  • Field Exit for customer master data

    hi
    i want to execute a check every time that we create a new customer
    this check should check that the field "VAT REG.." is field and not blank
    please your advice what is the best practice for this issue, field exit? badi? or is there any other way recommended
    i think that there is option to use  field exit but i don't know which field exit and how to do it
    many thanks

    Hi Meir,
    You go to SE84, and enter the enhancement I provided. Then, you activate the user-exit and write your own code. You can consult your ABAP team, if you are not sure about implementing user-exit.
    Regards,
    Eli

  • How to use LSMW on CRM for bulk master data creation?

    Hello Experts,
    I need your help to able to use LSMW on CRM for bulk master data creation. Below is described my detailed requirement; -
    We have CRM 2007 integrated with SAP ISU (ECC6.0). As per business process all Business Master Data (BP details, Business Agreement details etc) and Technical Master Data (Connection Object, PoD etc.) is created in CRM and then it is replicated in ISU. We are going to start Assembly Test soon. Now we need to have all master data in place. Tool we want to use is LSMW.
    Now can you help me right from scratch on how to use LSMW for bulk master data creation in CRM?
    Please give me documents / links etc that is relevant.
    Regards,
    Rohit

    Hi,
    I have looked into your query.
    These are some information which might be useful to you.
    What is LSMW?
    Legacy System Migration Workbench or LSMW is SAP standard program that can be used to easily load / change master data or transactions in SAP without any programming at all. It can be used to upload data at cutover, such as: open orders, contracts, materials, vendors, stock on hand. It can also be used in a production system to make changes to existing data. Very limited authorization checks are available on the transaction, so the use of it must be very well controlled.
    One input file can be used to create all the views of the material master. For all the material types. Even if different views and fields are used for the different materials.
    Steps to take
    1. Create text file with data to be loaded
    2. Set up and run LSMW
    The following link will provide good information on LSMW Idoc method:
    [http://help.sap.com/saphelp_nw04/helpdata/en/ad/2d54a41d7011d2b42e006094b944c8/frameset.htm]
    I hope this helps.
    Regards,
    Venkat

  • What is the difference of  customer master data  between CRM and ECC

    Dear all,
    We are helping  customer to  evaluate using CRM or ECC to manage there customer master data, focusing on the benefit of using CRM system.
    Can any one help to compare the difference between these two system?
    some tips in my mind are:
    1. CRM has a friendly user interface for user to adjust the layout, hide/display  favourite information according to actuall req.
    2. In CRM, user can change the field/assignment block description easilly
    3. in CRM7.0, user can add new customzing field easilly via AET
    4. CRM has a good any analysis platform to provide pie chart analytic
    5. CRM store more customer infor. than ECC, such as Marketing attribute, account classfication...anything else?
    any other benefit to use CRM for customer master data? Pls help!!!
    Thanks very much!!
    BR,
    Hedy

    I would agree with most of the topics you mentioned. Just one remark to topic number 5. Business partner doesn't have more data than erp. It has some more marketing oriented data, but on other hand doesn't have all finincial and credit data that are relevant for erp financial transactions.
    In our company we have the following scenario: all business partners are created in crm (because there the sales activities are started and because we don' clasify at the begining all partners as customers but as prospects. and of course it has nicer user interface). but when we are closing the deals (ordreds are transfered to erp), we fill some additional (financial) data of that partner on erp side and clasify partners as customers.
    Regards.

  • Generate outbound idoc for Customer Master

    Hi Developers,
    I have requirement to generate outbound IDOC for Customer Master Data. I need to send customer master data through an Outbound IDOC. Can we generate an outbound DEBMAS06 idoc? Can someone help me finding a solution to this problem?
    Thanks in advance for helping.
    Regards,
    Gajendra

    Hi,
    If you have done all the required settings (logical system, partner profiles, distribution model), then either transaction BD10 / BD14 will help you generate the IDOC.
    If you want to send the idocs automatically, then you will to configure some program.
    Unlike transaction data, Master data IDOCS are not triggered immediately, you will have to do the required configuration in SPRO.
    Transaction SPRO
    SAP Customizing Implementation Guide -->
    SAP Web application Server --> Application Link Enabling --> Modeling and Implementing Business Processes -->
    Master Data distribution --> Replication of Modified Data --> Creating IDOCS from Change Pointers
    Take a look at this thread.
    Re: automatic Idoc outbound
    Regards,
    Ravi
    Note : Please mark the helpful answers
    Message was edited by: Ravikumar Allampallam

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