Regarding f110_in_avis
f110_in_avis PRINT program for this form ihave checked tables but i need exact print program for this
Check print program RFFOUS_C
Regards,
Naimesh Patel
Similar Messages
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Payment Advice Sap Script 'F110_IN_AVIS' T-code F110
Hi,
I am using the standard SAP Script form 'F110_IN_AVIS' for generating Payment Advice through transaction code F110. F110 generates a spool request for the Payment Advice.
Now since a SAP Script output is coming in spool request. It means the whole process is running in background and I am not able to debug the SAP Script 'F110_IN_AVIS'.
Please tell me is their any way by which I can generate a direct printout without a Spool Request so that I can debug the SAP Script.
Regards,
Nitinif you want the print out,
you have to modify the OPTIONS...values...maybe as of now the program is not issuing the printout they passing the parametes only for spool.
wht u can do is set the "Print parameters, print immediately" to X..
ITCPO-TDIMMED = 'X'.
CALL FUNCTION 'OPEN_FORM'
EXPORTING
DEVICE = 'PRINTER'
DIALOG = ''
FORM = '............'
LANGUAGE = SY-LANGU
<b>OPTIONS = ITCPO</b>
EXCEPTIONS
CANCELED = 1
DEVICE = 2
FORM = 3
OPTIONS = 4
UNCLOSED = 5
OTHERS = 6.
I hope it helps you -
Hi, I'd like to ask ..how to show the name of Bill-to-party (add column) in the form F110_IN_AVIS in f-58
I'm confuse about it.
i just know REGUP-XBLNR is the invoice no...that i can trace the bill-to-party no and trace name.
but should I need to write a program to get this form. (don't use its build-in program).
do i have any other ways ..that just need to modify the form only?
hope and Thx for your helpHi Soobhany Parvez,
Please let me know if the update will be carry out successfully as currently I'm not very sure on steps involved on your side:
1. VA02 & goto the Partners tab at the header level.
2. Select the ship-to party by highlighting the row & click on the 'Business Partner Master Data' button (next to determination log button) which is located at the bottom of the screen.
3. System should display 'General Data' of the Customer Master screen. Click on the 'Display->Change' button & proceed with updating the changes then follow by clicking the Save button.
4. Changes is updated if you recheck from sales transaction.
If the above is not the same you have experience, do not hesitate to let me know & I'm interested to find out the steps you have taken to check further.
Hope this help. Thanks.
Best regards,
HC. -
This regarding cheque printing with advice
hi experts
This regarding cheque printing with advice
i am using standard driver progarm : RFFOUS_C
standard layout :F110_MX_CHEQUE(which is modified as per clients layout)
In advice the line items (i.e) inv no ref no inv date like wise is segregated by invoice document no but as per client i need to segrate these line items based on vendor invoice no i.e
( reference document no) . how to do this i need help .
there is any way that fuctional consultant can do this
regards
Siva Shanmugam.a.v.hi,
use the form F110_IN_AVIS for payment advice.
configure this form in the FBZP.
In the program RFFOUS_C we have internal table TAB_Regup.
this internal table will get the data from the REGUD, REGUH using function module.
in the tab_regup u will get the required data like docuno,amount
all.
loop this and take the data wat ever u want
Regards,
Ramu -
Driver prg name for predefined form F110_IN_AVIS
hi all,
I need print program (driver prg name) for predefined form F110_IN_AVIS, and also what is the output type for that. T-code for F110_IN_AVIS is F110.
It is related to payment advice.
If u know tell me plz.., or tell me where I have to search the printprg and output type for predefined form.
thanks in adv
vidyaHi Vidya,
You have the driver program configured against the Company Code & Payment Methods.
You can view it using menu path : Environment --> Display Config.
But some of the driver programs are : RFFOAVIS_FPAYM, you can search in SE38 using RFFO* you will get lots of driver programs.
@ Venkatesh:
The program name you have given is most probably for US. Actually different countries have different driver programs
Please award points if your qn is answered.
Regards,
Suhas -
Error in Payment Advice F110_IN_AVIS
Hi,
I have copied F110_IN_AVIS to ZF110_IN_AVIS for payment advice SAPSCRIPT.
I am using the print program RFFOM100 during automatic payments.
I am getting the error : F0251-In form ZF110_IN_AVIS / window MAIN , the element 610-U (Text-U) is missing
F0253-Output of the relevant forms is defective.
and I need to print some fields by using the subroutines.
If I am using subroutines,the spool is not getting populated.
If anyone had already worked on this issue.
Please advice.
Regards
ManoJHi,
check the vendor master weather you assign the house bank or not? and also check the bank master for payment type doc's in FBZP. and check the bank gl weather its having related to cash flow check box ticked or not.
hope its solve the issue.
Soma -
Regarding sy-index and sy-tabix
Hi,
What is the major difference between sy-index and sy-tabix ,
can you give me one good example with code..
Regards,
Reddy.Hi,
SY-TABIX - Current line of an internal table. SY-TABIX is set by the statements below, but only for index tables. The field is either not set or is set to 0 for hashed tables.
APPEND sets SY-TABIX to the index of the last line of the table, that is, it contains the overall number of entries in the table.
COLLECT sets SY-TABIX to the index of the existing or inserted line in the table. If the table has the type HASHED TABLE, SY-TABIX is set to 0.
LOOP AT sets SY-TABIX to the index of the current line at the beginning of each loop lass. At the end of the loop, SY-TABIX is reset to the value that it had before entering the loop. It is set to 0 if the table has the type HASHED TABLE.
READ TABLE sets SY-TABIX to the index of the table line read. If you use a binary search, and the system does not find a line, SY-TABIX contains the total number of lines, or one more than the total number of lines. SY-INDEX is undefined if a linear search fails to return an entry.
SEARCH FOR sets SY-TABIX to the index of the table line in which the search string is found.
SY_INDEX - In a DO or WHILE loop, SY-INDEX contains the number of loop passes including the current pass.
sy-tabix is the tab index - the index of the record in the internal table you are accessing,
sy-index is the loop counter.
If you use a condition in LOOP the sy-index will go from 1 to n, but sy-tabix will refer to the line in the internal table.
Hope this helps u.
Thanks,
Ruthra -
Regarding Field Missing in Dso Transformation
Hi
Folks
I am facing the issue like
In Datasouce to DSO transformation i can see the 55 objects in DSO table, and in DSO to Cube Transformation i can see 54 fields in DSO table, one field is missing , the object 0TXTSH(short discription) is mapped to field 0TXZ01in DS to DSO transformation.
so How can i get the field in DSO to Cube transformation.??
any settings have to be change???
waiting for yours Valuable answers
Regards
AnandHi,
Please identify the object and check it whether it is an attribute or a characteristic, if it is attribute only disable that option then check it.
Regards,
Srinivas -
I am having an issue regarding a placed order via customer service department
I recently relocated to Anchorage Alaska as part of a permanent change of station per the United States Air Force. I was initially located on the East Coast in the lower 48 and at the time of activating my contract I had purchased two separate Iphone 4 devices. I also recently went in to a store in February to purchase a Nexus 7 as well.
Upon arrival in Anchorage I had multiple issues regarding the Iphone 4 devices including being unable to send and receive text messages & imessages, unable to make phone calls, dropped phone calls, unable to utilize GPS, as well as not being able to access general account information and use anything related to web browsing or data usage. It was determined that because the Iphone 4 operates on the 3g network and Verizon does not have a 3g network in Alaska, as a result I was utilizing an extended service network from another carrier. As a result of this I am only able to use my Iphone 4 devices while connected to my wi-fi network while within my home, which is totally unacceptable.
I was not made aware that I would be dealing with this when I moved to Alaska and inquired as the the use of the devices I currently owned prior to purchasing the tablet. I was assured by three separate store employees one of which being a manager that all devices would function at 100% efficiency including the Iphone 4s. In fact I was recently billed 350$ for roaming charges last month, which prompted me to speak with a representative via the online chat regarding the significant increase she said that she was unable to process any sort of credit to the account regardless of what I had been told at a local Verizon store where I purchased the tablet.
As a result of all of these mishaps since arriving here in Alaska I determined I was in need of newer devices that utilize the 4G LTE network currently provided by Verizon in Alaska. I know for a fact that the 4G LTE works great up here because my Nexus 7 tablet runs flawlessly and does not incur roaming charges when utilizing the 4G LTE network.
Yesterday I attempted to contact Verizon through the live chat feature regarding upgrading two of the devices on my account. The live chat representative immediately asked me when my upgrade date was. Upon telling her my upgrade date 9/29/2014 she told me I should contact the customer service department as I might be eligible for an early upgrade. I then proceeded to contact the customer service department using my Iphone 4.
My attempt to speak to anyone in the customer service department resulted in a merry-go-round of being put on hold 6 separate times by two different employees, both of which had me wait for more than an hour while they attempted to speak to a manager to gain approval for an early upgrade. The first rep seemed almost sure she would be able to have my devices upgraded early especially considering the issues I was having regarding service.
The second rep seemed newer and was very dodgy about my questions and was very unwilling to help at first. He even mentioned that I had been a Verizon customer for almost two years, had never missed a single payment and had outstanding account history which should have garnered some sort of importance to the level of my request. But I digress, during this time I was disconnected from the call twice from each separate representative.
Both reps assured me they would call me back, I never did get a call back from either one of those reps and I was becoming very frustrated having waited four hours trying to find some sort of solution to my current predicament.
After waiting an hour for the second representative to call back I grew impatient and contacted the customer service department, was put on hold again, and finally reached a third customer service representative who was able to provide a solution for me.
I explained everything I had been dealing with to Cory ID # V0PAC61, both regarding the phones, the issue of the level of service I was receiving, the dire need for working devices and the multiple times I had been disconnected. I explained to him as a result of these issues I was certainly considering switching to a different provider, a local provider even who could provide me the adequate service that I require for my mobile devices.
I explained to Cory that I had been with Verizon for almost two years, and I had been on a relatives account prior to owning my own Verizon account and had never received this kind of treatment when trying to work towards a simple solution. Cory proceeded to tell me he needed to put me on hold to see if there was anything that could be done regarding the upgrades of the device considering all of the trouble I had been dealing with.
After Cory reconnected with me in the phone call he was able to successfully reach a solution by allowing me to upgrade my devices. We conversed about the options available and I eventually decided to upgrade both Iphone 4 devices to Moto X devices as we determined those would be sufficient for my needs while in Alaska. I also proceeded to add two Otter Box Defender cases to the order so that the devices would have sufficient protection. Cory inquired as to whether or not I would like to purchase insurance for the phones as well and I opted for the $5.00 monthly insurance which including damage and water protection.
Cory explained to me the grand total for the devices which included an activation fee of $35.00 for each device, $49.99 for each Otter Box case, and an additional $50.00 for each device which would be refunded as a rebate upon receipt of the devices and activation, a rebate that I would be required to submit. Cory explained to me that the devices would most likely arrive Tuesday of 6/17 and no later than Wednesday 6/18.
Cory took my shipping information and told me everything was all set and the only thing left to do was to transfer me to the automated service so that I could accept the 2 year agreement for both devices. I thanked him very much, took his name and ID# so that I might leave positive feedback about his exemplary customer service and was then transferred to the automated service.
Once transferred to the automated service I was then prompted to enter both telephone numbers for the devices that would be upgraded, I was then required to accept the new 2 year agreement for both devices and after doing so I was required to end the call. I did so in an orderly fashion and expected a confirmation # to arrive in my email regarding the placed order.
I have never received a confirmation email. I decided to sleep on it and assumed a confirmation email would be sent sometime tomorrow. Nothing has since been received however. I woke up early this morning around 6AM Alaska time to speak to another live chat representative, Bryan, in the billing department who assured me the order was currently processing and verified the order #. I asked him whether or not it was typical for a customer to not receive a confirmation email for an order placed and he said it can sometimes take up to 2-3 business days. He then stated that he had taken note of the issues I was experiencing and told me he would transfer me to the sales department as they would be able to provide more information regarding the shipment of both devices and a confirmation email, as he stated he did not want me to have to wait any longer than necessary to receive said devices.
I was then transferred to Devon in the sales department via the live chat service where I was then required to repeat everything I had said to both Bryan and the other representatives I had spoken too. After a lengthy discussion and repeating everything I have just wrote he told me the order was indeed processing and that he would send a confirmation email in the next 30 minutes.
That was 2 hours ago. It is now 8am Alaska time and I still have not received a confirmation email regarding my order. I was sent an email by Verizon an hour ago stating I had a device to "discover". The email contained no information regarding the shipment of my device, the order confirmation number, or anything regarding my account. The email I received was a typical spam email asking an individual to check out the current available phones and sign up for a new contract.
All I want is a confirmation email to assure that the devices are being sent. I need my phone for work and to communicate with my family in the lower 48. I desperately need to make sure that the device is in fact being sent to the proper address, this is why a confirmation email of the order is so important. I do not care about the shipping speed I just want what I ask to be taken care of for a change. I would hate to sit here unable to determine what the status of my devices are only for the order to be stuck in "processing" limbo and be unable to receive the devices when I was told they would be sent.
I feel I have been given the run around treatment way more than is typically given with any company when an individual is trying to work towards a solution. I have been patient and cordial with everyone I have spoken with, I have not raised my voice or shown stress or anger towards the situation I have only tried my best to work towards a solution with anyone I have spoken too but I am becoming increasingly frustrated with this situation.
Any help regarding this matter would be greatly appreciated. This situation has left a sour taste in my mouth and if the devices were indeed not actually processed in an order, or they were not shipped correctly, or in fact if the order had never existed at all it will only deter me from keeping my Verizon account active and affect my decision to switch to another provider.Hello APVzW, we absolutely want the best path to resolution. My apologies for multiple attempts of replacing the device. We'd like to verify the order information and see if we can locate the tracking number. Please send a direct message with the order number so we can dive deeper. Here's steps to send a direct message: http://vz.to/1b8XnPy We look forward to hearing from you soon.
WiltonA_VZW
VZW Support
Follow us on twitter @VZWSupport -
Vendor Line item with Opening and Closing Balances report regarding
Dear All,
I need a report for vendor line items with Opening and Closing balances.
Thanks in advance
SateeshHi
Try S_ALR_87012082 - Vendor Balances in Local Currency
Regards
Sanil Bhandari -
Regarding training and event management queries
hi experts,
in my company we have ess in which training and event management module is working fine.i need to develop a report in which training booked against employee through tc-psv1 means in sap-r/3 and through ess means tc-pv8i will come.means saggregation for sap r/3 and ess will come.
please help me regarding this.
how will i identifie that training has been booked against employees through sap r/3 or ess on what paramenet we will identifie.
plz help me....
is there any function module;....solved by own
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Regarding Exporting and Importing internal table
Hello Experts,
I have two programs:
1) Main program: It create batch jobs through open_job,submit and close job.Giving sub program as SUBMIT.
I am using Export IT to memory id 'MID' to export internal table data to sap memory in the subprogram.
The data will be processed in the subprogram and exporting data to sap memory.I need this data in the main program(And using import to get the data,but it is not working).
Importing IT1 from memory id 'MID' to import the table data in the main program after completing the job(SUBMIT SUBPROGRAM AND RETURN).
Importing is not getting data to internal table.
Can you please suggest something to solve this issue.
Thank you.
Regards,
Anand.Hi,
This is the code i am using.
DO g_f_packets TIMES.
* Start Immediately
IF NOT p_imm IS INITIAL .
g_flg_start = 'X'.
ENDIF.
g_f_jobname = 'KZDO_INHERIT'.
g_f_jobno = g_f_jobno + '001'.
CONCATENATE g_f_jobname g_f_strtdate g_f_jobno INTO g_f_jobname
SEPARATED BY '_'.
CONDENSE g_f_jobname NO-GAPS.
p_psize1 = p_psize1 + p_psize.
p_psize2 = p_psize1 - p_psize + 1.
IF p_psize2 IS INITIAL.
p_psize2 = 1.
ENDIF.
g_f_spname = 'MID'.
g_f_spid = g_f_spid + '001'.
CONDENSE g_f_spid NO-GAPS.
CONCATENATE g_f_spname g_f_spid INTO g_f_spname.
CONDENSE g_f_spname NO-GAPS.
* ... (1) Job creating...
CALL FUNCTION 'JOB_OPEN'
EXPORTING
jobname = g_f_jobname
IMPORTING
jobcount = g_f_jobcount
EXCEPTIONS
cant_create_job = 1
invalid_job_data = 2
jobname_missing = 3
OTHERS = 4.
IF sy-subrc <> 0.
MESSAGE e469(9j) WITH g_f_jobname.
ENDIF.
* (2)Report start under job name
SUBMIT (g_c_prog_kzdo)
WITH p_lgreg EQ p_lgreg
WITH s_grvsy IN s_grvsy
WITH s_prvsy IN s_prvsy
WITH s_prdat IN s_prdat
WITH s_datab IN s_datab
WITH p1 EQ p1
WITH p3 EQ p3
WITH p4 EQ p4
WITH p_mailid EQ g_f_mailid
WITH p_psize EQ p_psize
WITH p_psize1 EQ p_psize1
WITH p_psize2 EQ p_psize2
WITH spid EQ g_f_spid
TO SAP-SPOOL WITHOUT SPOOL DYNPRO
VIA JOB g_f_jobname NUMBER g_f_jobcount AND RETURN.
*(3)Job closed when starts Immediately
IF NOT p_imm IS INITIAL.
IF sy-index LE g_f_nojob.
CALL FUNCTION 'JOB_CLOSE'
EXPORTING
jobcount = g_f_jobcount
jobname = g_f_jobname
strtimmed = g_flg_start
EXCEPTIONS
cant_start_immediate = 1
invalid_startdate = 2
jobname_missing = 3
job_close_failed = 4
job_nosteps = 5
job_notex = 6
lock_failed = 7
OTHERS = 8.
gs_jobsts-jobcount = g_f_jobcount.
gs_jobsts-jobname = g_f_jobname.
gs_jobsts-spname = g_f_spname.
APPEND gs_jobsts to gt_jobsts.
ELSEIF sy-index GT g_f_nojob.
CLEAR g_f_flg.
DO. " Wiating untill any job completion
LOOP AT gt_jobsts into gs_jobsts.
CLEAR g_f_status.
CALL FUNCTION 'BP_JOB_STATUS_GET'
EXPORTING
JOBCOUNT = gs_jobsts-jobcount
JOBNAME = gs_jobsts-jobname
IMPORTING
STATUS = g_f_status
* HAS_CHILD =
* EXCEPTIONS
* JOB_DOESNT_EXIST = 1
* UNKNOWN_ERROR = 2
* PARENT_CHILD_INCONSISTENCY = 3
* OTHERS = 4
g_f_mid = gs_jobsts-spname.
IF g_f_status = 'F'.
IMPORT gt_final FROM MEMORY ID g_f_mid .
FREE MEMORY ID gs_jobsts-spname.
APPEND LINES OF gt_final to gt_final1.
REFRESH gt_prlist.
CALL FUNCTION 'JOB_CLOSE'
EXPORTING
jobcount = g_f_jobcount
jobname = g_f_jobname
strtimmed = g_flg_start
EXCEPTIONS
cant_start_immediate = 1
invalid_startdate = 2
jobname_missing = 3
job_close_failed = 4
job_nosteps = 5
job_notex = 6
lock_failed = 7
OTHERS = 8.
IF sy-subrc = 0.
g_f_flg = 'X'.
gs_jobsts1-jobcount = g_f_jobcount.
gs_jobsts1-jobname = g_f_jobname.
gs_jobsts1-spname = g_f_spname.
APPEND gs_jobsts1 TO gt_jobsts.
DELETE TABLE gt_jobsts FROM gs_jobsts.
EXIT.
ENDIF.
ENDIF.
ENDLOOP.
IF g_f_flg = 'X'.
CLEAR g_f_flg.
EXIT.
ENDIF.
ENDDO.
ENDIF.
ENDIF.
IF sy-subrc <> 0.
MESSAGE e539(scpr) WITH g_f_jobname.
ENDIF.
COMMIT WORK .
ENDDO. -
I'm trying to find an outlet for the frustration I feel regarding the "upgrade" that replaced my full screen picture for my contact numbers to a tiny, little dot in the right hand corner. Are they going to give us an option to go back or did someone just need to justify their job by making changes??
Apple.com/feedback
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Is there a major flaw with Iphoto in regards to organizing and backing up?
Is there a major flaw with Iphoto in regards to organizing and backing up? And how should I proceed??
Here is my story. I have moved roughly 15,000 photos from 7 computers (4 PCs and 3 Macs - basically everyone's computer in the family) onto one external hard drive. The photos were taken by many different digital cameras, are sparsely labeled, and have the most random names and folders. There are a LOT of duplicates. MY MISSION - label and back them up.
The way I normally deal with photos/DATA is this: I plug my camera into my Mac and immediately think about organizing and backing them up. With "Preview" I look at photos (and decide which one I like), create a folder called "where-ever I took these photos" and drag them into that folder. The problem with Iphoto is that you have no ability to control folders, unlike many other applications.
For example, in Itunes you can rename an artist, or even an album, and it will automatically appear in an updated folder. If you alter a photo in Photoshop, it makes you save it is a new file. In Iphoto you cannot make the same "root level" changes without making duplicates. From what I understand, you can place photos into an Album and then export that album (which makes duplicates). Iphoto will rename each duplicate file and then place it in the correct folder. The problem here is I have no idea where the original is to delete it.
Basically I want to create folders called "Trip to Italy 2003" or "Rachel's Wedding" and place all the photos associated with that event in those folders. The problem I run into is that I have a bunch of duplicates. I have heard of a program called Duplicate Annihilator which has gotten favorable reviews. If I import them into Iphoto all the photos are placed in random named folders. I say random because some of the photos were taken on cameras that didn't have the date set correctly. Hence some of my photos will appear in a labyrinth of folders called "Modified / 2001 / Roll 17 / DCM482 / Image25874654.jpg"
I am totally willing to wipe my Iphoto library clean and start again if there is a way to organize the photos as described above. Eventually I will take these folders and save them on a data DVD.
Thanks to anyone who can help.
GaryYou do not need to delve into the folders within the iPhoto Library via the finder to access any photo. That is all done within iPhoto itself. If you need a photo for use outside of iPhoto read Terence Devlin's treatise on file access. iPhoto is a DAM application - Digital Asset Management, not a folder manager. There's a big difference. You can use keywords, album and smart albums to organize your photos.
If you still have the original files you might consider what I do. I rename each file with the date it was taken using the international date format: YYYY-MM-DD-001.jpg. You can download the demo version ofMedia Expression and automatically rename each folder of photos with the EXIF date and a sequential number. This makes chronological searching and sorting much easier both in iPhoto and the Finder.
If you want to not only manage the photos but the folders then Expression Media will let you do both. It will let you rename files after being imported into a catalog, move them between folders, add ITPC metadata to the files, create virtual albums called Supplemental categories, and much, much more. I use it as my primary DAM and iPhoto for special projects like books, slideshows, calendars, etc. -
Problem in creation of FSV regarding where to assign the specific GL acct
Dear All,
Currently i am working on creation of Financial Statement Version, and have some doubt regarding some of GL account as to where it will get assigned.
1.Consumption of RM or SFG
2. Cost of Production of FG
3. Cost of Good Sold.
Kindly also tell the relation between the above GL and how it will effect the Balance sheet. and why this is used for.
Example is below
1. At the time of issue of RM material to Production order
Consumption of RM 100
To Inventay of RM 100
2.*At the time of Confirmation of FG *
Inventory of FG 120
To Cost of Production of FG 120
3. At the time of PGI
Cost of Good Sold 120
To Inv of FG 120
Thanks in advance
Regards
Shayam
Edited by: Shayam_210 on Aug 9, 2010 9:33 AMhi,
These are all P&L GL accounts and need to be allocated under profit and loss accounts node.
Under that profit and loss node, there may be diff sub items also.
Sub item has to be decide d by you depending upon the FSV structure in your org.
Regards,
Srinu
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