S_ALR_87012247 - Customer Balances and Line Items in Local Currency

Hi All,
This report S_ALR_87012247 - Customer Balances and Line Items in Local Currency  is not displaying line items for customers in ECC6. Is there any configuration required to get the line items? Please help
Thanks
Sridevi

If you see this report S_ALR_87009950, you will get
Opening Balance at the start of fiscal year
Debits and Credit during the reporting period
and the Cumulative Balance.
Please note the above report will not give you line item details.
S_ALR_87012247 report is specifically for poland, in the description it is mentioned that the line items will be displayed, unfortunately, for other countries, there are no line items visible. Therefore, you may explore the possibility of copying this report and changing the code in order to bring the line items along with the totals.

Similar Messages

  • Inconsistencies betwen balance and line items

    Hello masters!
    I found some inconsistencies betwen balance and line items. I tried to solve the problem using FAGLF03 and RFINDEX (when executing SAP retrieved: "New GL is active. GLT0 can not be adjusted") but both did not work.
    We have never gone trough an archiving process.
    Thanx

    Ok Renan.
    Bellow is the result of RFINDEX, if you have any idea...
    "Error reconciliation documents indexes sequentially docs."
    Ccode / Doc number / Year / Itm /Text              / Umsks / Umskz / Augdt / Augbl / Zuonr / PK / Wrbtr / Dmbtr / Pswbt /                                             
    PS01 / 100130931 / 2009   / 2   / G/L account /             /             /            /            /20090901/ 50 /-99,77/ -99,77 /-99,77
    *     100130931                                /-99,77/ -99,77 /-99,77
    Edited by: Naej on Jun 20, 2010 8:05 PM

  • Inconsistencies between Balance and Line items

    Hello masters!
    I found some inconsistencies betwen balance and line items. I tried to solve the problem using  FAGLF03 and RFINDEX (when executing SAP retrieved: "New GL is active. GLT0 can not be adjusted") but both did not work.
    We have never gone trough an archiving process.
    Thanx
    Edited by: Naej on Jun 15, 2010 11:00 PM
    Edited by: Naej on Jun 15, 2010 11:01 PM

    Hi,
    This will happen only if you activate line item management after started posting that GL account
    Please execute program RFSEPA01 to set right this.
    Best Regards,
    Madhu

  • G/L Balance and Line items difference

    Dear Mates,
    We have a Inventory-Spare Parts G/L account
    When i see the FS10N g/l balances ,there is a figure appearing as 25,82,887/- in the period February and when i double click on the above said figure to see the line items whose total comes to 30,89,627/- with doc.type: WA.
    Can please tell me ,what could be reason for the difference between Balance appearing on the initial screen and line items total.
    Please treat it very urgent as auditors are sitting on my head.
    Thanks
    Subbu

    Hi,
    First let me know the SAP R/3 version and fiscal year.
    In the mean time, you can also check any changes has been made to your GL account master data related to line item display.
    all the best

  • Migration to new G/L , balance and line item display after migration

    Hi,
    After migration in the development
    system, the balance of a G/L account
    in a year before the migration date
    cannot be displayed unless the G/L
    account is managed on open item basis
    or is a reconciliation account. The
    message "No data found in 2007" is
    issued.
    Additionally, the correct balance of
    G/L accounts if it is managed on open
    item basis or is a reconciliation
    account cannot be displayed by
    FAGLB03.Only the balance of open items
    can be displayed.
    How can we display all line items of a
    G/L account in year 2007?
    Thanks in advance and kind regards,
    Gökçen.

    Hi Elena,
    This is a very complex area. You need to check the following notes:
    1070629 - FAQs: Migration to General Ledger Accounting (new)
    1014364 - New G/L migration: Information, prerequisites, performance
    You may also have to contact SAP Migration Services
    [email protected]
    Regards,
    Ravi

  • Difference between cumulative balance and line items total in FS10N

    hi,
    when I am executing FS10n, I observed that the cumulative balance amount is not equal to line items total .  This is due to some amounts in previous years are varying from the line ltem totals in those periods of previous years.
    This is not happening with QA server only Prdn server is facing this problem.  Can anybody provide me a way to solve this..!?
    Regards,
    AJo
    I have checked the master data for the GL and the check box for line item display is selected. It has not been changed for years.
    Edited by: Anil Jonnalagadda on Oct 22, 2008 10:57 AM

    Hi Anil,
    The reason for the differences that you are viewing can be various. As the differences are found in the cummulative balance then it means that the differences might have occurred in previous fiscal years. The first stetp is to find when these differences were originated: You can run report SAPF190 (in se38) for previous fiscal years, and company code in question- This report should show the differences with message "Errors" in the log. If differences are found then you have to creeate a message and send it to SAP for further analysis and corrections.(only SAP experts can do this kind of corrections - component FI-GL-GL-X)
    Also bear in mind that if you did archiving in previous fiscal years then this would not be an error:
    If you already did archiving and secondary index deletion on this accounts with SAPF048I. So this explains why line items balance and GL summary balance differ ! There is no programm error.
    See consulting note 81489 which describes this issue:
    The balance of an account results from the balance of the open items. In
    connection with an archiving that has been carried out, the line item
    display - used with cleared items - must not therefore be interpreted as
    a balance display. For the balance display, there are separate
    correspond to the display balance of the open items from the line item
    display.
    Having archived and deleted secondary indexes ( with SAPF048I )
    for an account you can not use line item drill down as a balance
    display any more for a line item managed account.
    ( as not all line items are existing any more in table BSIS ! )
    The transactions meant to display the binding balances are  FS10N,
    FK10N and FD10N.
    They also give you the line items details, but only of those line
    items not yet deleted ( by SAPF048I ).
    kind regards,
    Oscar Diaz

  • Different figure display between Balance and Line items

    How can I find out the difference between line item and Balance in FS10n?
    Actually when I Executing the FS10N the balance of DR. balance is greater then that account Dr. Balance line item.
    Can any one tell me why?
    Thanks & Regards,
    Anandakumar

    Its a sundry debtors gl account. All the line item and open item transaction balance are displaying.
    but the amount is not displaying (difference amount).
    Any one has solution pls tell me.
    Thanks in Advance,
    Anandkumar

  • Copying g/l balance and line items details

    What is the best way to copy  account balance and the line item details from one G/L account to another one.
    Thanks

    Hi
    The best way to upload GL open items and GL balance is via FB01.
    Good Luck
    Hari

  • Urgent - "Vendor balances carried forward and line items report."

    Hello,
    Is there any report which will give me the vendor balance carried forward and the line items during that period.
    ==============================================
    Format-
    eg: statement taken from 1.8.2006 to 30.9.2006 is required as
    Bal b/f …………………………… 25000 cr.
    3.8.2006 Purchase Inv XXX ……   3000 cr.
    5.9.2006 Payment Chq XX ……  26000 dr.
    Bal c/f ……………………………  2000 cr.
    ==============================================
    Please advise on this.....
    Regards,
    J

    thanks for the response, but i have already tried those transactions.
    FK10N will give me the periodic bal statements and NOT line items display which will also have balance carried forward.
    F.41 and F.43 again gives the periodic and line items...but i want the vendor balances to  be in the format given above..
    like say, account statement.
    Please advise............
    Regards,
    J

  • GL Custom Reports not displaying source and line item Data after Upgrade

    Hi,
    I am having this issue even though General Ledger Journal Entry Summarization is set to "No Summarization" and in SLA the Line Type is set in detail for Transfer to GL. Have you come accross a specfic example like this? Can you please guide me to what the problem may be?
    None of the GL reports is showing the Source and Line Item details.
    Thanks,
    Arun

    I am having this issue even though General Ledger Journal Entry Summarization is set to "No Summarization" and in SLA the Line Type is set in detail for Transfer to GL. Have you come accross a specfic example like this? Can you please guide me to what the problem may be?
    None of the GL reports is showing the Source and Line Item details.Have you verified the queries of those reports after the upgrade? And, when you say upgrade, do you mean from 11i to R12?
    Did you set the application context properly?
    How to set the Organization Context in R12? [ID 437119.1]
    Oracle Applications Multiple Organizations Access Control for Custom Code [ID 420787.1]
    SQL Queries and Multi-Org Architecture in Release 12 [ID 462383.1]
    Setting APPS Context is mandatory step while loading data using public APIs [ID 473615.1]
    Thanks,
    Hussein

  • FBRA : Balance of line items is not zero

    Hi all,
    When we are trying to reset a clearing document using FBRA, we are getting the message that " Balance of line items is not zero "..
    Can you please suggest why we are getting this error..The debits and credits both match and are equal to zero..
    Thanks again,
    Regards,
    Srikanth.

    Hi ,
    Please check below
    SAP Note 400530 - FBRA - F5136: Balance of line items not zero

  • Balance of line item different from the figure of open item

    Hi
    User has posted the document by  USD currency(f-02). The balance of line item display in FBL3n it is showing 1985202 while the figure in open item(f-06) it is showing 1990323.60.
    What will be cause of error?
    Regards

    Please check whether the exchange rates are different for the clearing date and the invoice posting date.
    Regards,
    Naveen

  • Query : Custom field at line item level in SRM 7.0 .

    I was going through a document which instructs on how to add a custom field at line item level in SRM 7.0.
    I found this code :
    CALL FUNCTION 'BBP_PD_SC_GETDETAIL'
    EXPORTING
    I_GUID = IV_DOC_GUID
    I_WITH_ITEMDATA = 'X'
    TABLES
    E_ITEM = LT_ITEM
    E_MESSAGES = LT_MESSAGES
    E_STATUS = LT_STATUS. . 
    LOOP AT LT_STATUS INTO WA_STATUS.
    IF WA_STATUS-STAT EQ 'I1015' AND WA_STATUS-INACT IS INITIAL.
    LV_STATUS_APPROVE = 'X'.
    ENDIF.
    ENDLOOP.
    I wanted to know what is 'I1015'  and what is its significance .
    please advise .
    Ambar

    HI
    This speaks about the status of the Cart. This means that the Status of the Cart is AWAITING APPROVAL...I dont know which document you have gone through but procedure for adding a Custom Field in SRM 7.0 is:
    1. Create a Custom field in the Database in SRM. Preferrably add the field in an include and extend thta include to the table in SE11.
    2. Go to Portal Login of SRM and right click the part of the screen where you want to add the custom field. Click on More Field Help. The popup will give you the name of WebDynpro Applicaiton which controls that area.
    3. Login to SRM via GUI and display the webdynpro application using SE80. Enhance the Webdynpro application.
    4. Add the custom field to the Context of the WebDynpro Application View. You will be selecting the field from the database table while adding the custom field to the context
    5. Add the field at the specified place in Layout Tab of the WebDynpro View,
    6. Create a binding between the Layout Field and the Context
    7. Activate the changes.... you will see the field in Portal login of SRM....
    For more details , refer to the Webdynpro help of the application...
    Regards
    Virender Singh

  • Gr Ir Assignment Updation with PO and Line Item

    In the GL for GR IR Account the sort key was not  maintained with PO number due to which the assigment field in the line item was getting updated with the posting date and not with the PO & LIne Item details.
    We have made the requiste changes and new items are getting updated properly.
    But require assitance in updating the earlier line items.
    As of date total line items are more than  0.15 mn.
    Please suggest some method to automatically update the assigment field of the GR IR Line items with the PO Details.
    Regards
    Mukesh

    Hi,
    You can use a substitution to update the field through FI. Use GGB4 for wirting a substitution you may need some ABAP coding to substitute PO no and line items in the assignment field.  rule would be Co code =XXX and GL account =xxx and Posting date earlier than =xxxx  then concatenrate EBELN and EBELP in Assigment field Zounr.
    Then execute FBL3N and edit the assignment field by selecting all the documents and then save it you should see the PO line items populated. You can leave the substitution on or you can remove it after updating,
    Regards
    K.R

  • Sales order no and line item no in account assignment tab of line item no.

    Hi All,
    When we display a sales order and go to line item --> Account assignment tab --> we can see sales order no and line item no in that screen. We want to know from where this existing no. in that field is populating from.
    We want to know this as we want to check feasibility of changing sales order and item no to maintenance contract no and line item no. ( Maintenance contract we have to pick from notification)
    If anybody has any idea about this do let me know as this is urgent requirment.
    Effort will be rewarded.
    Thanks in advance.
    Edited by: Satish Bharambe on Jul 4, 2008 10:38 AM

    Hi Satish,
    You mean Accounting assignment tab-->In Settlement rule details
    If yes the order number which is coming in that field Sales order and for which sale order you are looking that details both are the same numbers(i.e Nothing but sales order number).
    When you create sales order system will give number of the sales order the number will come in this place.
    I hope it will help you,
    Regards,
    Murali.

Maybe you are looking for

  • Automator not working properly while setting comments and moving files to folders, how to proceed?

    So, this is my workflow, i've converted it into a folder action and applied it to a folder called "Automator" in my desktop: i've turned "show this action when the workflow runs" so I can see what is going wrong here's what I get (each action happens

  • Java Project-----Code Problems

    hiya......having problems...finishing off this project....liberary account......full of classes and super's.....a few methods giving me problems (Borrow , REturn)....not sure what to do....and then a big main to run it all from and call everything...

  • Unable to change bookmarks

    Hi; I am trying to rename or delete some of my bookmarks but Safari is telling me that I can't change bookmarks now because they are being synchronized. But I am not connecting any device nor I am synching with any web service. What is the problem? T

  • HELP! iPhone has stopped working

    So I tried to restore my iPhone to original settings and it wont restore. Error (1013) keeps occuring amongst other things. My iTunes is up to date as is my microsoft security. My phone turns on and says I need to plug into iTunes (like when you firs

  • Shake or After Effects?

    I'm wondering what the major differences are between the two. I'll be editing some short movies, focusing on color correction, adjusting lighting, image stabilizing, and titles/text... no motion graphics, cg, or green/bluescreening involved. Another