Report issue
Hai
I created the query in the BEx and publish the query in the web via portals .
Now im getting the report in the web with following functionalityies like below
1) Data Analysis
2) Graphical Display
3) Information
4) Information Broadcasting some thing like that .
a) My client wants if he put the cursor on the column heading then he need to get the 'formula' or 'any calculation' of that colmun by default . How can i get this one
b) My client want to save the views of the report by selecting "Save View". How can i use multiple save views and can open whatever save view i want ..
pls let me know
kumar
Hi Ravi,
When you execute Query in web it will display as per the Bex query output...and you dont have the flexibility in customising the query
In WAD.. you can design the query and save as a WebTemplate( IView) and even you can save them to Roles or Favourites..and then publish in Portal
Hope this helps,
Thanks,
Sudhakar
Similar Messages
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Hi,
I have run a stage analysis report but it says no data inspite of open opportunities being present in the system. Could anyone kindly let me know what could be the issue?
Regards
SharatHi Sharat,
Welcome you to the forum. Please close your first thread.
Regarding your Stage Analysis Report Issue, what selection has been made? This report show closed opportunity only.
Thanks,
Gordon -
1. 30 documents of 2009 were matching and post with clear is perfomred. After performing post with clear also the line items are not moving from open line items. When we download the open line items as of today, these line items are appearing.
2. When we download the ZBLRFIOI report for GRIR a/c 349100 to have the opne line items. we have some set of documents showing as " FI Open items without J2" - This is reporting issues.
Thanks
MallikarjunaHi
Pls try with F.13 for that GR/IR account 349100 by selecting check box select gl accounts
And give Company code, year and pending document numbers in selection screen
And before that pls make sure that OB74 clearing settings maintained or not
It will clear all the open items exists
Reg
Vishnu -
Hi,
I am facing one reporting Issue relating to Display Attributes.
Characteristic: Business Partner
Display Attributes: Address0, Address1, Address3...etc.
Requirement is to display mentioned Display attributes along with Business Partner.
For this I have selected Business Partner as characteristic and mentioned above three as display attributes to Business Partner.
But Query out put is not showing Display attributes. For this I have done all settings at reporting level, all gone vain.
I am using Bex 7.0.
Kindly look in to the Issue and let me know the solution.
Regards,
Venkat.Mahipathi.
09886652422.
[email protected]Hi,
Check in Reporting properties or check attributes in analyzer proprties then it will display
************asign points if usefull***********
swapna -
User report issues in 1.1.0.21.97
A couple of issues i'm experiencing with user reports on Mac OS X in the latest pre-releas build
first off, if I am asked for a password (first time I use the connection) there is no feedback if the connection fails (worng password for instance)
The second problem I'm facing is every time I try to rerun a certain master-detail report I'm getting an NPE
this is the stacktrace:
22-nov-2006 15:37:31 oracle.report.addin.ReportEditor updateContent
INFO: ReportEditor.updateContent()
22-nov-2006 15:37:33 oracle.dbtools.raptor.controls.display.DisplayResultTable getUI
INFO: DisplayResultTable.getUI()
Exception in thread "AWT-EventQueue-0" java.lang.NullPointerException
at oracle.dbtools.raptor.controls.display.DisplayPanel.refresh(Unknown Source)
at oracle.dbtools.raptor.controls.display.DisplayPanel.refresh(Unknown Source)
at oracle.report.addin.ReportEditor$1.actionPerformed(Unknown Source)
at javax.swing.AbstractButton.fireActionPerformed(AbstractButton.java:1882)
at javax.swing.AbstractButton$Handler.actionPerformed(AbstractButton.java:2202)
at javax.swing.DefaultButtonModel.fireActionPerformed(DefaultButtonModel.java:420)
at javax.swing.DefaultButtonModel.setPressed(DefaultButtonModel.java:258)
at javax.swing.plaf.basic.BasicButtonListener.mouseReleased(BasicButtonListener.java:234)
at java.awt.AWTEventMulticaster.mouseReleased(AWTEventMulticaster.java:231)
at java.awt.Component.processMouseEvent(Component.java:5554)
at javax.swing.JComponent.processMouseEvent(JComponent.java:3126)
at java.awt.Component.processEvent(Component.java:5319)
at java.awt.Container.processEvent(Container.java:2010)
at java.awt.Component.dispatchEventImpl(Component.java:4021)
at java.awt.Container.dispatchEventImpl(Container.java:2068)
at java.awt.Component.dispatchEvent(Component.java:3869)
at java.awt.LightweightDispatcher.retargetMouseEvent(Container.java:4256)
at java.awt.LightweightDispatcher.processMouseEvent(Container.java:3936)
at java.awt.LightweightDispatcher.dispatchEvent(Container.java:3866)
at java.awt.Container.dispatchEventImpl(Container.java:2054)
at java.awt.Window.dispatchEventImpl(Window.java:1774)
at java.awt.Component.dispatchEvent(Component.java:3869)
at java.awt.EventQueue.dispatchEvent(EventQueue.java:463)
at java.awt.EventDispatchThread.pumpOneEventForHierarchy(EventDispatchThread.java:269)
at java.awt.EventDispatchThread.pumpEventsForHierarchy(EventDispatchThread.java:190)
at java.awt.EventDispatchThread.pumpEvents(EventDispatchThread.java:184)
at java.awt.EventDispatchThread.pumpEvents(EventDispatchThread.java:176)
at java.awt.EventDispatchThread.run(EventDispatchThread.java:110)
reloadBuffers(): 53 nodes checked in 0.006489 second(s)
reloadBuffers(): 53 nodes checked in 0.005422 second(s)
reloadBuffers(): 53 nodes checked in 0.004306 second(s)
22-nov-2006 15:43:17 oracle.report.addin.ReportEditor updateContent
INFO: ReportEditor.updateContent()
only happens with master-detail report
Message was edited by: Barsema
barsemaWe have verified the connection error on the latest evaluation build is working as expected. i.e. if you supply wrong password you get alerted to that. This has been verified on the windows and Mac OS X. Please try the latest evaluation release 1.1.0.22.71.
Your reports issue has also been addressed.
Sue -
Update 3/22 - the below issue has been resolved.
It has come to our attention that certain Windows Phone download reporting aggregations are not matching. After investigation, we found an issue related to 11/1/14 – 11/9/14 transactions. For example, if you chose an “All
app” aggregation (6 month view) and compared it to “Monthly by app” aggregations (6 month view), the totals weren’t matching. The root cause of the issue was due to the 11/1/14 – 11/9/14 data not being considered for all of the available aggregations.
We are scheduled to fix the issue today.
If you have transactions between 11/1/14 – 11/9/14, you will see an increase in the following aggregation totals once the fix is completed:
Monthly aggregations (6 and 12 month views) by app and in-app aggregations
Cumulative downloads – app and in-app aggregations
Please note, this is strictly a download reporting issue. There is no impact to any payout reporting or payout amounts.
When the fix has been completed, I will update this post.
Thanks,
PatrickUpdate 3/22 - the below issue has been resolved.
It has come to our attention that certain Windows Phone download reporting aggregations are not matching. After investigation, we found an issue related to 11/1/14 – 11/9/14 transactions. For example, if you chose an “All
app” aggregation (6 month view) and compared it to “Monthly by app” aggregations (6 month view), the totals weren’t matching. The root cause of the issue was due to the 11/1/14 – 11/9/14 data not being considered for all of the available aggregations.
We are scheduled to fix the issue today.
If you have transactions between 11/1/14 – 11/9/14, you will see an increase in the following aggregation totals once the fix is completed:
Monthly aggregations (6 and 12 month views) by app and in-app aggregations
Cumulative downloads – app and in-app aggregations
Please note, this is strictly a download reporting issue. There is no impact to any payout reporting or payout amounts.
When the fix has been completed, I will update this post.
Thanks,
Patrick -
Odd Reporting Issue (ENTERPRISE)
I have a client with some users experiencing a rather odd reporting issue. The report runs fine, but only shows values for the totals and not the line items that make up the total.
For example, when I run the report (logged in as admin as well as under their ID), I see:
Net Sales 1,234
Cost Of Sales (1,111)
Gross Margin 123
When they log in on their machine, they see:
Net Sales
Cost Of Sales
Gross Margin 123
Very odd. I figured maybe it was an application setting, but the INI didn't look off anywhere particular.
They are running Enterprise 6.3.1 (yeah, insert comment here on the upgrade needed).
Any thoughts???Check their Effective rights, and reset them, that has worked out for me. Otherwise, try copying the user and paste it as a new user and retest; I had to delete users and recreate them to correct problems of this nature.
-
Open PO Analysis - BW report issue
Hello Friends
I constructed a query in BW in order to show Open Purchase Orders. We have custom DSO populated with standard
datasource 2lis_02_itm (Purcahse Order Item). In this DSO we mapped the field ELIKZ to the infoobject 0COMP_DEL
(Delivery completed).
We loaded the data from ECC system for all POs and found the following issue for Stock Transport Purchase orders (DocType = UB).
We have a PO with 4 line items. For line items 10 and 20, Goods issued, Goods received and both the flags "Delivery
complete" and "Final delivery" checked. For line items 30 and 40, only delivery indicator note is issued for zero
quantity and Delivery complete flag is checked (Final delivery flag is not checked) in ECC system. For this PO, the
delivery completion indicator is not properly updated in the DSO for line items 30 and 40. The data looks like the
following:
DOC_NUM DOC_ITEM DOCTYPE COMP_DEL
650000001 10 UB X
650000001 20 UB X
650000001 30 UB
650000001 40 UB
When we run the Open PO analysis report on BW side this PO is appearing in the report but the same is closed in ECC
system.
Any help is appreciated in this regard.
Thanks and Regards
sampathHi Priya and Reddy
Thanks for your response.
Yes the indicator is checked in EKPO table for items 30 and 40 and delta is running regularly for more than 1 year and no issues with other POs. This is happening only for few POs of type Stock Transport (UB).
I already checked the changes in ME23N and the Delivery completed indicator was changed and it reflected in EKPO table. Further, i checked the PSA records for this PO and i am getting the records with the Delivery completed flag but when i update from PSA to DSO the delivery completed indicator is not updating properly.
In PSA, for item 30 i have the following entries. Record number 42 is capturing the value X for ELIKZ but after that i am getting two more records 43 and 44 with process key 10 and without X for ELIKZ. I think this is causing the problem.
Record No. Doc.No. Item Processkey Rocancel Elikz
41 6500000001 30 11 X ---
42 6500000001 30 11 --- X
43 6500000001 30 10 X ---
44 6500000001 30 10 --- ---
(Here --- means blank)
Thanks and Regards
sampath -
S_ALR_87012178 Report -Issue Related to Interest calculations
Hi,
When we run a customer open item analysis S_ALR-87012178 we see that there looks to be interest for overdue balances showing on the report. It doesn't appear to be assigning the interst to the customer, but I wanted to see why this was here and if we have the ability to assing interest to balances. And also where you would turn this on and off in the system or for a customer.
Kindly adivce me on this issue.i am confused because i didnot understand what they are asking.
Thanks
SunithaHi,
You can go to F.99 in order to see all the reports for Customers.
Hope you will find the best suitable report.
When you are using "Drill down reports" do not forget to select
"Object list (more than one lead column)" this would give you a option to sort them the line items as you want.
Just for your information: SAP1 is the transaction code for all the reports in SAP.
Regards,
Ravi -
Report issue on Virtual cube with services
Hi,
I'm following a how-to document to report on a virtual cube using a custom function module and everything seems to be OK except it is dumping at the following line which is included in the How To document "How Tou2026Implement a virtual InfoProvider with Services".
Both <l_s_data> and E_T_DATA are of same data types as discussed in the how-to document.
append <l_s_data> to E_T_DATA
These are the declarations which are same as HowTo document
E_T_DATA TYPE STANDARD TABLE
FIELD-SYMBOLS: <l_s_data> TYPE ANY.
Did any one face this issue. Greatly appreciate any insight into this issue. We are on BW 3.0B.
the dump i'm getting is ...
Data objects in a Unicode program are not convertible.
Error analysis
The statement "MOVE src TO dst" requires the operands "dst" and "src" to be comvertible.
Since this statement occurs in a Unicode program, the special convertibility rules for Unicode programs apply.
Thanks,
Hari Immadi
http://immadi.com
SEM BW AnalystHi,
In the debugging this is what I found out.. Any further insight?
Virtual cube has only 1 characteristic Z_CRNUM & only 1 keyfigure Z_SR
Report has only Z_CRNUM & Z_SR
<L_S_DATA> has following record & value
component type length contents
K____504 P 9 1.000
S____504 C 18 16EA4D-R
K____504 is the technical name of Z_SR in virtual provider.
S____504 is the technical name of Z_CRNUM in virtual provider.
E_T_DATA (type standard table) has following structure with a total of 5 fields.
S____504 K____504 &KEYEND 1ROWCOUNT Z_SR
Regards
Hari Immadi
http://immadi.com
SEM BW Analyst -
Hi,
We have customized a report (XML Publisher) in which our template is in XSL format.When using this stylesheet (.XSL) to print out PO's, there are some problems with the page layout, more specifically regarding the page breaks:
1) Extra empty page is printed - can this be avoided?
2) If the entire line block does not fit on the page, the line should be completely shifted to the next page (called "widow and orfan control" in MS Word) ?
How to avoid these issues? Replies will be appreciated.
Thanks,
SumirHi,
We have customized a report (XML Publisher) in which our template is in XSL format.When using this stylesheet (.XSL) to print out PO's, there are some problems with the page layout, more specifically regarding the page breaks:
1) Extra empty page is printed - can this be avoided?
2) If the entire line block does not fit on the page, the line should be completely shifted to the next page (called "widow and orfan control" in MS Word) ?
How to avoid these issues? Replies will be appreciated.
Thanks,
Sumir -
Hi gurus- I run the AP Trial Balance report and have an issue that I cannot reconcile with my raw data because when I export into excel, the invoice number is cut off after 20 characters. This client has long invoice numbers. Is there any way to get the SQL for this report and run it separately so I may see the invoice numbers and reconcile? Thanks a lot.
Hi,
Please check note:553484.1, there are some queries provided to check the TB data like queries to compare XLA and GL data.
Hope it helps -
Hi Gurs,
I am in middle of a custom report developement which proivdes PO numbera and some of its relative dat, PR number and its relative data againust all the status of invoices(posted,parked,cancelled etc)
the issue i m facing is client wants Purchasing group in input screen, i took the purchasing group from EBAN, but when i run the report its taking lot of time to execute,
Could any one tell me how can i filtter the data so that i can get all the above mentioned data for a PG, or can i add any other field and make it mandatory to filter,
please suggest any other approches /idea/ how can i reduce the time interval
Thanks
RaviHI,
At present we are using logic based on input example PR number first program will extract data for PR and then It checks EKKO and EKPO for PO numbers and for filter PO number program will check RBKP for invoice numbers,
Its real Logic or you give example only?
But if i provice Purchasing group it checks the whole EBAN and next process the same steps,
its throwing run time errore,
As you said your company code and invoice document date are mandatory field
so your logic should flow from invoice table and end on PR number like below
RBKP and RSEG you will get invoice document date and Po number
Now pass Po number into table EKPO and get PR number ,if you want report for purchasing group wise then
add table EKKO and pass Po number there and ask ABAP consultant that when Purchasing group on selection screen ,output show only that Purchase group related
Regards
Kailas Ugale -
Reporting Issue "Opening Balance values are going to Not Assigned Values"
Hi Friends,
Closing Balance values are perfectly showing but opening balance values are going to Not Assingned Values? I am not able to find it out.
our query is built on PCA Daily Multiprovider.
Pls Help.
Thanks
AsimHi Ravish,
Here are the details
Stock values and quantities in the PCA cube of BW never show correctly at an article level due to an opening balance issue. This reduces our ability to report on stocks at moving average price, i.e. anything that actually matches the financial values in the system. The issue arises because stock at the beginning of the year (quantity and value) for any site is only shown against an article of "Not assigned." Stock movements during the year are shown against the appropriate article.(If you have a new site, the will have stock assigned against an article up until 31 December and then the 31 December values are shown against "not assigned" for the next year).
Thanks
Asim -
Discoverer Desktop Report issue
Hi,
One of my user is facing a format issue while running the report in Oracle Discoverer 10g. The report produces the following out put.
count(Col A) Col B Col C Col D
12 A 200709 12-Sep-07
11 A 200709 21-Sep-07
24 B 200709 11-Sep-07
32 B 200709 13-Sep-07
10 B 200710 15-Oct-07
Col A is of number data type, Col B character, Col C is number and Col D is date
if Col D is removed from the report, the user is getting the result in following format
count(Col A) Col B Col C
23 A 401418
56 B 401418
10 B 200710
i.e. col C displays the sum of the value based in Col B instead of displaying it as 200709.
but when I ran the report from my end I'm getting the result in a proper manner.
count(Col A) Col B Col C
23 A 200709
56 B 200709
10 B 200710
Please help me in sorting out this issue.
Environment Details:
Oracle Discoverer Admin 10g(9.0.4)
Oracle Discoverer Desktop 10g (9.0.4)
End User Layer 5.0.2
Thanks in Advance.
Regards,
SS@Himanshu3jul:
I'm not using any Oracle Application secure views. Also, the data that are being displayed is proper if Col D is not removed. If user removes Col D, the result is getting aggregated based on Col B but for me it is showing in a perfect manner.
@puppethead:
I'm afraid I may not be able to the check the registry on user machine since user is sitting at a different location.
@Rod West:
The default Aggregate property for Col C is set to <none> and it is grayed out. I'm not able to change it too. Also, if it is a bug then I should get the result as what user receives but I'm not facing any issues in that report but only user is.
Please let me know what can be done next to figure it out.
Also, I have the screen shots from my machine and from user’s. if you think that it will really help then I can post it. please let me know where and how I can post it so that you can have a look at it.
Thanks,
SS -
Dear Experts,
i need your advises for an issue regarding a reporting idea, i am working in Telecom company and as you know, there is alot of reports requested daily from END users, some of these reports can be moved to discoverer to let the users generate them from their side through discoverer viewer, but there are many reports still generated from my side directly from the back end (database) because they are customized for specific data sent by the end users.
for example, some users send me a list of customers numbers and they need some information for them, so i used to load them to a temp table and join it with the query to get the needed data.
i want to ask is there a way to enable the end users to get this report from their side without returning to me, that is is there any tool that let the users load some data into temp table and generate the report for that data only?
please i need ideas?
Edited by: eyass on Oct 28, 2011 12:08 PMHi,
Well all is not possible since beside the database side (the function) all other steps are configuration steps.
as for the function you can see the following as example:
create or replace function LOAD_DATA_XXXTABLE
(P_DATE_V in date) RETURN VARCHAR2
IS
PRAGMA AUTONOMOUS_TRANSACTION;
V_OUT varchar2(50);
p_date date;
v_sql varchar2(30000);
v_date varchar2(50);
v_period varchar2(50);
BEGIN
begin
p_date := (p_date_v);
v_date := ''''||to_char(p_date_v,'DD-MON-YYYY')||'''';
v_period := ''''||to_char(p_date_v,'MON-YY')||'''';
DBMS_OUTPUT.PUT_LINE('*************************************** Process Start ***************************************');
-- Truncate the table
execute IMMEDIATE 'TRUNCATE TABLE XXX.XXXTABLE';
-- Populate the table in the user partition
v_sql := '
insert into XXX.XXXTABLE
Select '||v_period||' period
from dual';
execute immediate v_sql;
commit;
DBMS_OUTPUT.PUT_LINE('End of first load: '||to_char(sysdate,'YYYY-Mon-DD HH:MI:SS'));
DBMS_OUTPUT.PUT_LINE('Table XXXXX was populated on : '||to_char(sysdate,'YYYY-Mon-DD HH:MI:SS'));
V_OUT := 'Finished OK';
RETURN V_OUT;
EXCEPTION
WHEN OTHERS THEN
dbms_output.put_line(' Error: '||substr(SQLERRM,1,250));
V_OUT := 'Finished ERROR';
RETURN V_OUT;
raise;
end;
end LOAD_DATA_XXXTABLE;
you have to build the table prior to running it !!!
insert your logic in the V_SQL variable.
if you wish to use GTT then you do not need the truncate statement...After compiling it try to run it and see if you get data, run the following:
declare
v_out varchar2(50);
begin
-- Call the function
v_out := load_data_xxxtable(p_date_v => '01-OCT-2011');
end;
then select from the table to verify it is populated:
select * from
xxx.xxxtable;
now you should register it to the discoverere administrator, after log in go to the toolbar: "tools->register PL/SQL functions"
enter the needed data (use upper case),
validate it.
then create a worksheet using Plus or Desktop, do not select any folder or any item.
create a new calculation, use the function you have just registered.
run the report and see the output, if you get OK then you can create a new worksheet that will select from your table.
Of course you need to add the table to the BA so that you will be able to use it for a report.
hope it helps
Tamir
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