Requirement quantity and quantity withdrawn are not matching

From a production order the requirement quantity of one component is 4 and for another component, it is 2. But the withdrawn quantity for the first component is 5 and for the 2nd component it is 0. This has caused a COGI error.
Also the total quantity and the delivered quantity is shown as 6.
How can this be corrected and prevented from happening in the future.

Hi Jeby,
            Thanks very much for your reply.
Batch management is not used for both the components.
For both the components the storage location is mentioned in the components overview of the production order. When I checked in the material master the same storage location is existing in the materiala master also

Similar Messages

  • ETD and Base line are not matching

    Hi All,
    My requirement is in production server, for some invoices the Expected time departure and base line date are not matching,
    What will be the reason behind this? Can you please advice how to approach to this problem.?
    Thanks in advance
    jaya.G

    Hi,
    could you please eloborate the issue?
    Thanks,
    Srinu

  • Open Item and Line Items are not matching

    Hi Gurus,
    I ran the EFT for vendor #1600109 for payment on 10/18/07.  If I run the vendor open items report (ZFI019) for today, it shows the balance net of the EFT that is $203,466 ( $263869 - EFT Value is $60,403). 
    When I ran the vendor line items display (FBL1N), it shows all the invoices including the invoices paid on the Oct 18 EFT $263,869 which is (2034,66+60,403). 
    User wants the open item report should tally the line item display.
    I will assign good points.
    Thanks for your help
    Prashanth

    Hi Gurus,
    EFT is working fine. But the Vendor Open item Report (Custom Report) and Vendor line item report (FBL1N) is different.
    We are looking a balance for a vendor as on 15th where the balances are not matching between the reports but if i run FBL1N on 18th the balances are matching.
    Clearning date is 18th
    Posting Date is 15th.
    Thanks
    Prashanth

  • FD10N and FBL5N Reports are not matching

    Hi,
    When i execute FD10N FBL5N reports for customer balance, Both are showing different balances, why they are not matching with each other?
    My FBL5N open item blance is not matching with FD10N.what could be the reason?
    Is there any other report to show customer opening balances other than FD10N?
    thaanks

    Dear Dogdays
    This is selection parameters problems- means please check once again what you selected check boxes  and also check for Dates what you given
    To check both the above cases, FD10N for the year you see the difference. Double click on the balance value for the period where you have seen the difference. The double click will call FBL5N for the period and customer. If the total of the line item report matches the balance in FD10N, then the issue is selection criteria
    Regards
    shankar

  • In 27q form Amount deducted and amount payable are not matching

    Dear All
    Here we made a z programm for form 24 qa as zf24q.But what is happening means in the excell the Amount Tax deducted and Tax deposited is showing correctly but in display these two amounts are not matching.so kindly give any suggestion for me
    Regards
    lakshman

    not answered yet.

  • DB Connect DataSource PSA records and DSO records are not matching...

    Dear All,
    I'm working with SAP NetWeaver BW 7.3 and for the first time, I have loaded from Source System DB Connect. I have created a DataSource and pulled all records and found 8,136,559 records in PSA. When I designed and created DSO with Key Fields 0CALDAY, Item No and Company Code, it has transferred records about 8,136,559 and added records about 12,534 only. Similarly following InfoCube has about 12,534 records into its Fact table. When I tried to reconcile the data/records with source DBMS for a month, the records/data could not matched?
    1. What could be the reason behind the issue? why I am unable to load the records/data correctly?
    2. Have I not mentioned the Key Fields of DSO in a correct manner?
    3. Is it possible to load the records/data into DSO without giving any field as Key Fields?
    4. How should I resolve this issue?
    5. Is it could be of DSO Overwrite and summation function utilization if yes, then how to utilize it?
    Many thanks,
    Tariq Ashraf

    Dear Tariq,
    1. What could be the reason behind the issue? why I am unable to load the records/data correctly?
    Ans:  Check transformation once. Is there any start routine you have used or direct assignments. What kind of DTP settings you have done.
    Check the messages at the DTP monitor. You will surely find some clue. Any duplicate records are being detected or not check once if you are using semantic keys in your DTP.
    2. Have I not mentioned the Key Fields of DSO in a correct manner?
    Ans:  The transformation key and the DSo key are they same in your case?
    What kind of DSO is it? Like for sales order DSO you take Order number as a key field., So you have to define the key fields according to business semantics I suppose. Do you agree?
    3. Is it possible to load the records/data into DSO without giving any field as Key Fields?
    Ans:  I dont think so as the keys you defined will help in having unique data records isnot it?
    4. How should I resolve this issue?
    Ans: Please check the above as in Ans:1 please share your observation.
    5. Is it could be of DSO Overwrite and summation function utilization if yes, then how to utilize it?
    Ans: DSO overwriting of key figures is useful when you have full loads in picture. Are you always going to perform full loads ?
    For reference would you like to check this thread:  Data fileds and key fields in DSO
    Lets see what experts give their inputs.
    Thank You...

  • I recently updated my MacBook Pro to the new software, and now my iMessage and my FaceTime are not connected with my computer. How do I get them to match so that I would be able to use my cellphone number?

    I recently updated my MacBook Pro to the new software, and now my iMessage and my FaceTime are not connected with my phone number like it is supposed to be. How do I get them to match so that I would be able to use my cellphone number on my notebook?

    To reset any OS X program just go to the folder and trash the affected files.
    Open a new Finder Window
    Click "Go" in the above status bar
    Click and HOLD the "option/alt" key and you will see "Library" now show in the above list
    Click Library while still holding the option/alt key and a new window will open with all of your system files
    Go to the preference file (NOT Preference Panes)
    Locate a file named <com.apple.FaceTime.bag.plist>
    Locate another file named <com.apple.FaceTime.plist>
    Locate the file <com.apple.iMessage.bag.plist>
    Drag the files to the trash
    Delete the trash
    Close FaceTime and iMessage if not already closed
    Relaunch FaceTime and iMessage from Applications folder
    This should reset the program back to default. You will have to put your information back into the program but it should work.
    Good Luck.

  • How can i fix a clip when the video and audio are not matching up?

    How can i fix a clip when the video and audio are not matching up? I imported the video from a junkdrive in a .VOB format and concerted to a .mov the videos were filmed on a miniDVD recorder.

    I would try detaching the audio and the dragging the audio to the left or right until it lines up.

  • HT204406 The songs on my computer itunes playlist and my iphone playlist songs are not matching up. I do see new songs I've added on my computer playlist on my iphone playlist but the songs are not in the same order. How do I get them to match?

    Playlists matching on computer and iphone?  The playlists on my computer in itunes are not matching up with the "match" playlist on my iphone.  New songs do show up when I add them to a playlist, but the songs are all in different order.  If I edit a playlist on my computer how do I get it to match on my iphone?

    Restore them to the new computer using the bakcup of the old one. If you don't have a backup of the old computer, you can re-download music purchased from the iTunes store. If they were imported from CD's, etc. You will either have to re-rip them or purchase third party software to extract them from the phone. The iPhone is not a backup or data transfer device.

  • HTTP and RFC Adapter are not Required Sender

    Hi All,
    I have one dought....
    Why Plain HTTP and RFC Adapter are not Required Sender Communication Channel and Sender Agreements...
    I Know this two Adapter are in ABAP Stack....
    Please clarify my dought...
    Regards

    Idoc Adapters do NOT require Sender Communication Channel.
    The Sender System identifies itself at the Integration Server, with the fields SNDPOR and Client of the Control Record.
    Sender Communication channels are used for communication betweeen the Application System and the Integration Server.
    In the case of Idocs, all idocs are tranferred to the Integration Server pipeline and NOT to the regular EDI/IDOC interface.
    The RECEVIER DETERMINATION is based on the values in the Control Record.
    If you are doing ALE, then you have to maintain the idoc types which are NOT to be transferred to the Integration server by executing report IDX_SELECT_IDOCTYP_WITHOUT_IS.
    By maintaining the Idoc Types using this report, only these idoc types are sent to the regular EDI/IDOC interface.

  • SQL Query to find Receipt No.s which are not matched to AP Invoices

    Hi
    Please help me to frame a query to find list of Receipt No.s which are not matched with AP Invoices.
    Please refer to the below query .
    SELECT
    poh.segment1 "PO No.",
    aps.vendor_name "Supplier Name",
    pol.item_description "Item Description",
    rcvh.receipt_num "GRV No.s",
    rcvl.quantity_received "Quantity",
    pol.unit_price "Rate/Unit",
    rcvtl.tax_name||' - '||initcap(rcvtl.tax_type) "Tax",
    (rcvl.quantity_received * pol.unit_price) + nvl(rcvtl.tax_amount,0) "Amount"
    FROM
    po_headers_all poh,
    po_lines_all pol,
    po_distributions_all pod,
    ap_suppliers aps,
    rcv_shipment_headers rcvh,
    rcv_shipment_lines rcvl,
    rcv_transactions rcvt,
    jai_rcv_line_taxes rcvtl
    WHERE
    poh.po_header_id = pol.po_header_id
    AND poh.po_header_id = pod.po_header_id
    AND pol.po_line_id = pod.po_line_id
    AND aps.vendor_id = poh.vendor_id
    AND aps.vendor_id = rcvh.vendor_id
    AND rcvh.shipment_header_id = rcvl.shipment_header_id
    AND poh.po_header_id = rcvl.po_header_id
    AND pol.po_line_id = rcvl.po_line_id
    AND rcvh.shipment_header_id = rcvt.shipment_header_id
    AND rcvl.shipment_line_id = rcvt.shipment_line_id
    AND poh.po_header_id = rcvt.po_header_id
    AND pol.po_line_id = rcvt.po_line_id
    AND aps.vendor_id = rcvt.vendor_id
    AND rcvh.shipment_header_id = rcvtl.shipment_header_id
    AND rcvl.shipment_line_id = rcvtl.shipment_line_id
    AND rcvt.transaction_id = rcvtl.transaction_id
    AND aps.vendor_id = rcvtl.vendor_id
    AND rcvt.transaction_type = 'RECEIVE'
    AND poh.authorization_status = 'APPROVED'
    AND poh.segment1 = '210001079'
    I have'nt included the Invoice Tables in the above query.
    Please help me in that area.
    This is bit urgent.
    Please help me.
    Regards
    Nakul Venkatraman

    I am using ORACLE 11gR2 If you're licensed for Diangnostics pack then you might want to look at the AWR tables, e.g. DBA_HIST_SQLSTAT and cross-reference with DBA_HIST_SNAPSHOT.
    By this will i get the top 5 consumed queries of DEV user in the whole session or its just the top 5 queries at that particular time. The "executions" columns in this query, does it mean that the no. of. times the query has executed... This will get you a random 5 queries that were first parsed by DEV. Depending on your application code/structure, it may well be that all code (except for system-recursive sql) executed by DEV is parsed by DEV, and all code parsed by DEV is executed by DEV but this isn't true for all.
    In terms of top N queries, you need to ORDER BY and then restrict by ROWNUM at an outer level to the ROWNUM otherwise the ROWNUM filter is applied before the ORDER BY.
    i.e.
    SELECT *
    FROM
    (SELECT ...
    FROM ...
    WHERE
    ORDER BY...)
    WHERE ROWNUM <= ....
    The "executions" columns in this query, does it mean that the no. of. times the query has executedYes.
    http://download.oracle.com/docs/cd/E11882_01/server.112/e25513/dynviews_3064.htm#REFRN30259
    Edited by: Dom Brooks on Oct 24, 2011 9:45 AM

  • Regarding : Material document data and PO data do not match (Plant)

    Hi Gurus,
    Please go through this BAPI program.
    While uploading it is giving an error ' Material document data and PO data do not match (Plant) '.
    Please help regarding this issue.For all Other moment types it is working fine except this 351 moment type.
    dATA: i_excel TYPE truxs_t_text_data. "work table for excel upload
    DATA: BEGIN OF it_itab OCCURS 100,
          docdate(10),
          postdate(10),
          mvt_type(3), "Movement Type
          plant(4), "Plant
          lgort(4),
          pur_doc(10), "Purchase Document No
          po_item(3), "Purchase Document Item No
          material(18), "Material Number
         delnote(16),
          erfmg(13),
          uom(3),
         lfmng(13), "Quantity
          batch(10) TYPE c,
          vfdat TYPE vfdat,
          END OF it_itab.
    DATA: it_goodsmvt_head TYPE TABLE OF bapi2017_gm_head_01      INITIAL SIZE 100,
          it_goodsmvt_code TYPE TABLE OF bapi2017_gm_code         INITIAL SIZE 100,
          it_goodsmvt_item TYPE TABLE OF bapi2017_gm_item_create  INITIAL SIZE 100.
    DATA: wa_goodsmvt_head LIKE LINE OF it_goodsmvt_head,
          wa_goodsmvt_code LIKE LINE OF it_goodsmvt_code,
          wa_goodsmvt_item LIKE LINE OF it_goodsmvt_item.
    DATA: w_mat_doc  TYPE bapi2017_gm_head_ret-mat_doc,
          w_year     TYPE bapi2017_gm_head_ret-doc_year.
    DATA: BEGIN OF it_errmsg_goodsmvt OCCURS 10.
            INCLUDE STRUCTURE bapiret2.
    DATA: END OF it_errmsg_goodsmvt.
    DATA : obj_type LIKE bapiache09-obj_type,
           obj_key  LIKE bapiache09-obj_key,
           obj_sys  LIKE bapiache09-obj_sys.
    DATA: v_date1 TYPE sy-datum.
    DATA: v_date2 TYPE sy-datum.
    DATA: w_lines TYPE i.
    DATA: errflag.
    SELECTION-SCREEN BEGIN OF BLOCK bk1 WITH FRAME TITLE text-100.
    PARAMETERS: p_file TYPE  rlgrap-filename.
    SELECTION-SCREEN END OF BLOCK bk1.
    AT SELECTION-SCREEN ON VALUE-REQUEST FOR p_file.
      CALL FUNCTION 'F4_FILENAME'
        EXPORTING
          field_name = 'P_FILE'
        IMPORTING
          file_name  = p_file.
    Start-of-selection processing
    START-OF-SELECTION.
      CALL FUNCTION 'TEXT_CONVERT_XLS_TO_SAP'
        EXPORTING
          i_line_header        = 'X'
          i_tab_raw_data       = i_excel
          i_filename           = p_file
        TABLES
          i_tab_converted_data = it_itab[]
        EXCEPTIONS
          conversion_failed    = 1
          OTHERS               = 2.
      IF sy-subrc <> 0.
        MESSAGE ID sy-msgid TYPE sy-msgty NUMBER sy-msgno
                WITH sy-msgv1 sy-msgv2 sy-msgv3 sy-msgv4.
      ENDIF.
      LOOP AT it_itab.
        REFRESH it_goodsmvt_head.
        REFRESH it_goodsmvt_item.
        CONCATENATE it_itab-docdate6(4) it_itab-docdate3(2) it_itab-docdate+0(2) INTO v_date1.
        CONCATENATE it_itab-postdate6(4) it_itab-postdate3(2) it_itab-postdate+0(2) INTO v_date2.
        wa_goodsmvt_head-pstng_date = v_date2.
        wa_goodsmvt_head-doc_date   = v_date1.
       wa_goodsmvt_head-ref_doc_no = it_itab-delnote.
    wa_goodsmvt_head-pr_uname   = sy-uname.
        APPEND wa_goodsmvt_head TO it_goodsmvt_head.
    Maintain it_goodsmvt_code
        wa_goodsmvt_code-gm_code    = '04'.
    Maintain it_goodsmvt_item
    *LOOP AT it_itab.
    IF wa_goodsmvt_item-po_number IS INITIAL.
        wa_goodsmvt_item-po_number    = it_itab-pur_doc.
        wa_goodsmvt_item-move_type    = it_itab-mvt_type.
        wa_goodsmvt_item-MOVE_PLANT      = it_itab-plant.
        CALL FUNCTION 'CONVERSION_EXIT_ALPHA_INPUT'
          EXPORTING
            input  = it_itab-material
          IMPORTING
            output = it_itab-material.
        wa_goodsmvt_item-material     = it_itab-material.
        wa_goodsmvt_item-stge_loc     = it_itab-lgort.
        wa_goodsmvt_item-po_item      = it_itab-po_item.
        wa_goodsmvt_item-entry_qnt    = it_itab-erfmg.
        wa_goodsmvt_item-ENTRY_UOM_ISO    = it_itab-uom.
       wa_goodsmvt_item-po_pr_qnt    = it_itab-lfmng.
        wa_goodsmvt_item-batch        = it_itab-batch.
        wa_goodsmvt_item-expirydate   = it_itab-vfdat.
       wa_goodsmvt_item-NO_MORE_GR   = 'X'.
        wa_goodsmvt_item-mvt_ind      = 'B'.
        APPEND wa_goodsmvt_item TO it_goodsmvt_item.
        CALL FUNCTION 'BAPI_GOODSMVT_CREATE'
          EXPORTING
            goodsmvt_header  = wa_goodsmvt_head
            goodsmvt_code    = wa_goodsmvt_code
          IMPORTING
            materialdocument = w_mat_doc
          TABLES
            goodsmvt_item    = it_goodsmvt_item
            return           = it_errmsg_goodsmvt.
    Process of commit work
        IF it_goodsmvt_head[] IS NOT INITIAL.
          DESCRIBE TABLE it_goodsmvt_head LINES w_lines.
        ENDIF.
        IF it_goodsmvt_item[] IS NOT INITIAL.
          DESCRIBE TABLE it_goodsmvt_item LINES w_lines.
          CALL FUNCTION 'BAPI_TRANSACTION_COMMIT'
            EXPORTING
              wait = 'X'.
        IMPORTING
        RETURN        =
          CLEAR errflag.
          READ TABLE it_errmsg_goodsmvt INDEX 1.
          IF it_errmsg_goodsmvt-type EQ 'E'.
            WRITE:/'Error in function', it_errmsg_goodsmvt-message.
            errflag = 'X'.
          ELSE.
            WRITE:/ it_errmsg_goodsmvt-message.
          ENDIF.
          IF errflag IS INITIAL.
            COMMIT WORK AND WAIT.
            IF sy-subrc NE 0.
              WRITE:/ 'Error in updating'.
              EXIT.
            ELSE.
              WRITE:/ 'Material Document created successfully and the Document Number for the Material',
                      wa_goodsmvt_item-material,'is:', w_mat_doc, w_year.
            ENDIF.
          ENDIF.
        ENDIF.
      ENDLOOP.

    Hey,
    Just wanted to post that in my case this was the error of MVT_IND field in item table. When I made it from 'B' to blank then it worked.
    Mine is solved....
    Thanks

  • Totals for CKF are not matching

    Hi All,
    We recently upgraded to BI7 and we created Aggregates in the system. We have few calculated key figures (CFK) in the system. When we execute the queries they are not hitting the aggregates in the system because of the property, calculation before aggregation.
    We changed that property calculation before aggregation to calculation after aggregation then the queries are hitting the aggregates. So we moved the aggregates to BQ and BP. There the values for the totals in the report are not matching. For ex: we have value 10 for a CKF in five rows then the total in the result row should be 50 but that is not the case now, it is showing as 45 or 55 some value. The totals are not matching in all the reports where this CKF is involved.
    But when we keep the calculation before aggregation property as it is, then the total values for this CKF are matching in the report. But now the problem is that the queries do not hit the aggregates.
    So instead of going for a CKF we tried with creating a formula in the query with the same calculation as it is in the CKF, but for that formula also the total values are not matching. When we check and compared the formula calculation with other CKFu2019s in the system, we found out that those CKFs which involved the calculations such as multiplication and division the totals are not matching but if the CKF is containing addition and subtraction then the Totals are matching. This is the same case in across all the systems except in Production.
    We have testing system (BT), which is a copy of production; the totals are matching for this CKF in one report. But if we include the same CKF in some other report then the totals for this CKF are not matching in that report.
    We are unable to figure out why the same CKF with same properties and calculations is not behaving in the same way across all the systems. If anybody comes across such issue please let us know how to proceed further.
    Thanks for your patience.
    Hope for your response...

    Hi himanshu,
    If you are using Addition, subtraction with Multiplication & Division, just maintain all in the Sequence how you required using brackets.
    If you are using formula in Row & Column also try to use formula Collision.
    http://help.sap.com/saphelp_nw04/helpdata/EN/d2/02223c5f00612be10000000a11402f/content.htm
    Regards,
    Rajdeep.

  • The product version and database version are not compatible

    The following simple program gets an exception {The product version and database version are not compatible} its very hard to proceed from here. Does anybody know what cause this?  
    Best Regards
    Jan Isacsson
    using System.Collections.ObjectModel;
    using Microsoft.MasterDataServices.Deployment;
    using Microsoft.MasterDataServices.Services.DataContracts;
    namespace MdsDeploy
        class Program
            static void Main(string[] args)
                try
                    ModelReader reader = new ModelReader();
                    Collection<Identifier> models = reader.GetModels();
                    foreach (Identifier modelId in models)
                        Console.WriteLine(modelId.Name);
                catch (System.Exception ex)
                    Console.WriteLine("Error: " + ex.Message);
                Console.ReadKey();

    Hi Jan,
    For the error "The product version and database version are not compatible", as Emma said, the version number of the Service does not match the database schema version.
    In your scenario, which version of database are you using? Please note that MDS update required after SQL 2012 SP1 installation, please refer to the links below to see the details.
    http://byobi.com/blog/2012/11/mds-update-required-after-sql-2012-sp1-installation/
    http://msdn.microsoft.com/en-IN/library/gg488708.aspx
    Regards,
    Charlie Liao
    TechNet Community Support

  • How to delete video from iTunes library? del and shift+del are not working - no any reaction

    how to delete video from iTunes library? del and shift+del are not working - no any reaction.

    seb963 wrote:
    Hi
    Currently, iMatch is turned off on my computer, as I do not want to upload any more songs. If I turn it on, will it upload all songs that are currently in my library? Is there another way that deleting them one by one?
    You must enable iTunes Match on the new computer. The best way to accomplish what you want to do is to create a new, empty library by launching iTunes while holding down the Option key (Shift on Windows) and choosing "new library." Do not let iTunes scan for new content, but do enable iTunes Match on the empty library. Once the scan is finished you may delete tracks from the cloud. When you are done switch back to the main iTunes library.

Maybe you are looking for

  • How to edit hyperlink properties in Acrobat Pro 9?

    I'm trying to edit a PDF document (generated from Windows Word) on my Mac with Acrobat Pro 9. What I want to do is make the borders invisible, because in Mac Preview the hyperlinks appear with ugly boxes around them. Apparently when no borderWidth pr

  • Trouble in data selection logic

    Hi All, I am hitting 4 tables for selecting some data using inner join. There are three user input fields which if filled, has to take part in data selection. These three input fields are independent of each other. so while writing select query, how

  • Organize and browse photos Chronologically

    I recently moved from PSE 5 through PSE 7 (2 months using version that came with my Epson Scanner), and then to PSE9. Now I'm coming accross some of fhe idosyncronisities of the Organizer that are discussed in other threads. I'm also seeing where man

  • J1INQEFILE - efile generation - Exported file shows Duplicate records.

    Dear Team, When I execute J1INQEFILE, I am facing problem with the e-file generation i.e. exported Excel file. When I execute and export the file in excel to the desktop, I can see duplicate records. For eg. On execution of J1INQEFILE, I can see 4 re

  • IBook G4 owner scorned: is the time right for MacBook?

    Hello, I am the owner of an iBook G4 (early 2004), which replaced an iBook G3 that was serviced three times in the first six months I owned it. Earlier this year, I had to replace the logic board on the G4 (ugh), and, frankly, two and a half years in