Trading partner (business partner) in tabel FAGLFLEXA

Dear Expert,
I saved document with value for filed VBUND (Trading partner) in document in FI. But this value has not saved in tabel FAGLFLEXA (New G/L). I need this value in new G/L for the SEM-BCS.
How can I repair tabel FAGLFLEXA in the FI for historical documents and openning balance for accounts in SAP-FI?
Thank you in advance for your help.
Regards,
Anka

You also need to make sure you have a "Preparation for Consolidation" scenario assigned to the ledger you are extracting.
In the ECC IMG, go to --> financial accounting (new) --> global settings --> ledgers --> ledger --> assign scenarios and customer fields to ledgers.
I don't believe VBUND (or more accurately, RASSC) will get updated in the New GL if you don't have this scenario assigned.
Likewise, add scenarios for Profit Center and Segment reporting if you intend to use these fields.
As far as correcting historical documents, an manual reclass in the GL for each period-end might get you what you need, or a PL01 after you've done your dataload (assuming you don't have breakdown errors).
- Chris

Similar Messages

  • How to key in the trading partner Business Area field in Vendor/Customer?

    Hello, SAP pros,
    I want to ask how to key in the trading partner business area for vendor / customer reconciliation account? We know we can set the default trading partner BA in the document header (Tcode: FB01). But according to our testing, such value in this field will be default to normal G/L account like bank, cash..., but not for the reconciliation account. And even we do not key in the value in the trading partner business area in the document header, we can not find a way to key in the trading partner business area directly in the document line item for Vendor / Customer line (even the posting key and the field status for the reconciliation account is set to optional / mandatory).
    Any experts have idea?
    many thanks,
    daniel

    Hi!
    Ensure Your BP Currency is marked to EUR or All Currency
    Add the OB for BP by keying Amount in FC curreny, if your BP currency is different from LC else Key in the Amount in LC currency.
    If Exchange Rate is not updated for EUR means system will automatically pop the window. Give the Exchange Rate and Add the OB.
    Now all the three Currencys LC,SC and FC will be updated for your BP.

  • Trading partner on Business Area Clearing Account

    Hi,
    I have configured business area wise financial statements for my client. But when doing cross-company code postings, the BA is not getting transferred to the company code clearing accounts. Is there a way to get it to transfer automatically ?
    In the mean time, I am using Balance sheet adjustments to resolve this, but the trading partner on the original document line item is not getting copied to the business area clearing account. Is there a way to get the trading partner to get transferred to the BA clearing account?
    Also, by looking at the line items of the BA clearing account, is there a way I can determine the original account that was adjustment?
    Any recommendations of how I can handle this are greatly appreciated.
    Thanks in advance,
    ALAS

    hai,
    Goto T.Code Se38 and give SAPF180K it will display any error. then you correct the error and rerun again F.5d & f.5e. It will work. 
    Problem because of Reconciliation acount. It means all the reconciliation account need to be mapped in OBXM with business area clearing account.
    And also Cash Gl account needs cash clearing account. because you will not able to enter business area in Cash account. (corresponding entry will have the business area)
    Try this. If you have any problem mail me back.
    govind.

  • Trading partner business area

    Hi Sap Experts,
    Where do define Trading partner business area and where it will be stored (Table).
    Regards,
    Prabhakar

    Hi
    Business area  - TGSB (TGSBT for texts); OX03 transaction
    Trading partner - T880; OX15 transaction
    Regards,
    Eli
    P.S. In general, if you are looking for a table use SE84 console.

  • Trading partner and Trading partner business area tables

    Hi Sap Experts,
    Trading partner and Trading partner business area if both are master data in which table both will be stored.
    Please give me advise.
    Regards,
    Prabhakar
    double post

    Hi,
    Please refer to the below links :
    For Trading Partner:
    http://help.sap.com/saphelp_45b/helpdata/en/d7/0753e743b911d189ee0000e81ddfac/frameset.htm
    http://help.sap.com/saphelp_erp60_sp/helpdata/en/01/a9b4e3455711d182b40000e829fbfe/content.htm
    For External Manufacturer:
    http://help.sap.com/saphelp_di46c2/helpdata/en/7f/a7e7464d6011d2b438006094b9c9be/content.htm
    Regards,
    Kiron Kumar T.

  • Inter business area transactions and trading partner business area

    Hi Gurus,
    We are on R3 4.7. *We have more than one business area but only one company code*.. We do pull financial statements by business area.
    One of the business area A gets a service contract to do work. Some part of the work is outsourced from business area A to business Area B. Business Area A pays to business Area B for the services done by business area B.
    While doing payment to the business area B, do we need to populate trading partner busiess area as business area A? Is this trading partner busiess  area mandatory to be populated in this type of scenario.
    Are there any things we need to be aware of when they are inter business area transactions as described in the above scenario.
    We are not implementing EC-CS/any other consolidation solution.
    Thanks,
    Edited by: James09 on Jul 11, 2011 7:41 PM

    If no consolidation system is implemeneted, then the partner business area is not mandatory. However it may be helpful for analysis as well as any future consolidations that may be necessary. Therefore it is suggested that this be captured, and in many cases will automatically be populated.

  • Authority Check business area / trading partner business area in FB50

    Hi,
    Through FB50,  the authorization object F_BKPF_GSB controls the business area and the trading partner business area
    We are looking to authorize users on all trading part business area) but only on their business area (currently handle with org levels in PFCG).
    Any idea?
    julien

    Srinivas is right. The validation only works when a CO document is being created due to a posting or allocation and not at the point of filling in master data. If you have business area active in your company code then you must include a business area. I think the best you can do in this case is to either deactivate the business area in company or create a dummy business area.
    Regards,
    Kenneth

  • Business Area is value getting copied to Trading Partner Business Area

    Respected Members,
    In the Purchase Order i have maintain the business area and through this Purchase order i am making the good receipt and business area is visible at MIGO item level screen also.
    BUt when accounting document is generated the business area value is not visible in the business are.
    After keen observation i found that value of Business area is getting copied to Trading Partner Business Area and Business area value is getting clear off.
    Why Sap Guys have hardcorded like that they clearing the business area value and putting in the trading partner businessa area. In coding they have not maintain any condition also.
    Please anybody can clear my doubt at what scenario the business area value will be visible in the business area field and when it will get clear and transfer to trading partner business area.
    Thanks a lot.
    Manish

    Hi,
    1. In case of Business where payments are made centrally it is important to report
        Bank A/c Business area wise.
    2. However I have solved the problem by doing "Sustitution", and its working fine. The Business Area is getting updated against the Main Bank Account Line item.
    3. I am however getting one error while doing the upload in FF_5. The error occurs
       only if Business Area is a "required" field in Bank Account's "Field Status
       Group".
       Error: (00 298) Formatting error in the field COBL-GSBER ; see next message.
       But if I make Business Area as an Optional Field I am not getting an error and
       also the posting is done to Main Bank Account.
    Is there anyother method by which this error can be corrected.
    I have assigned 2 points for your inputs. Can you help me to solve this error as well.
    Rgds
    Prasad

  • Painter doesn't work with Trading Partner's Business Area COSP-PARGB

    Hello,
    i valorized field PARGB through FI substitution (Tcode GGB1) and it works fine.
    PARGB is valorized in BSEG, COEP and COSP for CO totals records for reporting.
    In GR22 i activated PARGB in Characteristics screen for Library 6O1 (internal orders).
    I created a report copying standard report 6O01-001 and i put in General Data Selection field PARGB.
    The selection screen doesn't work!
    The field appears and F1 functionality calls COSP-PARGB and it's correct.
    I tried to use fix values rather than variables (standard or custom), but the extraction doesn't work.
    The system doesn't filter by Trading partner's Business Area.
    Please, does anybody know something in matter?
    Thanks,
    Regards
    Enrico

    Hi Sanjit,
    I tried to find what you said, but no success.
    I made it work in other site, but in my own it doesn't work :S
    I'm adding to receive mails in [email protected]
    and here goes the site www.meanwhileeverywhere.com
    I'll be glad if you help find this missing thing.
    Thx!
    Johnny Macedo
    2014-03-13 14:34 GMT-03:00 Sanjit_Das <[email protected]>:
        Re: Muse contact form doesn't work properly with external email
    provider  created by Sanjit_Das<http://forums.adobe.com/people/Sanjit_Das>in *Help
    with using Adobe Muse CC* - View the full discussion<http://forums.adobe.com/message/6206807#6206807

  • Business/Trading Partner in Bank Analyzer GL connector

    Hello
    We want to send the business/trading partner (vbund)from core banking via bank analyzer to FI-GL using the GL connector/extractor. This info we need for consolidation preparation (elimination of intercompany sales). Does Bank Analyzer 6.0 contain this data?
    Regards
    Arjan

    Hi,
    Once you assign Trading Partner to Counterparty it will be automatically filled in the posting document. You can check in FBL3N/FBL5N display by including field Trading Partner.
    Regards
    Prasad AV

  • AIP-52251:  Error identifying remote trading partner at MLLP Exchange with

    used HL7 over MLLP, one trading partner is EAI(B2B Localhost), another is EchoServer(a java application, the hostname is is4-nb4.corp.ha.org.hk). used a script to enqueue message. like below:
    DECLARE
    enqueue_options dbms_aq.enqueue_options_t;
    message_properties dbms_aq.message_properties_t;
    msg_handle RAW(16);
    ipmsg b2b.IP_MESSAGE_TYPE;
    xml_clob clob;
    msg_id number(10);
    subscribers dbms_aq.aq$_recipient_list_t;
    BEGIN
    select message_seq.nextval into msg_id from dual;
    xml_clob := '<?xml version="1.0" ?><ADT_A01 xmlns="http://www.edifecs.com/xdata/200" xmlns:xsi="http://www.w3.org/2001/XMLSchema-instance" XDataVersion="2.0" Standard="HL7" Version="2.3.1" CreatedDate="2005-08-16T16:52:26" CreatedBy="ECXEngine_826" GUID="{1A2726C6-B00E-DA11-8F7A-080020C8D296}"><MSH><MSH.1>|</MSH.1><MSH.2>^~\&amp;</MSH.2><MSH.3><HD.1>EDI</HD.1></MSH.3><MSH.4><HD.1>PWH</HD.1></MSH.4><MSH.5><HD.1>EchoPac</HD.1></MSH.5><MSH.6><HD.1>PWH</HD.1></MSH.6><MSH.7><TS.1>20050804162010</TS.1></MSH.7><MSH.8 xsi:nil="true"></MSH.8><MSH.9><MSG.1>ADT</MSG.1><MSG.2>A01</MSG.2></MSH.9><MSH.10>TEST007</MSH.10><MSH.11><PT.1>#Property(ProcessingID)#</PT.1></MSH.11><MSH.12><VID.1>2.3.1</VID.1></MSH.12><MSH.13 xsi:nil="true"></MSH.13><MSH.14 xsi:nil="true"></MSH.14><MSH.15>AL</MSH.15><MSH.16>ER</MSH.16><MSH.17>#Property(CountryCode)#</MSH.17><MSH.18>ASCII</MSH.18><MSH.19><CE.1>ENG</CE.1></MSH.19></MSH><PID><PID.1>1</PID.1><PID.2 xsi:nil="true"></PID.2><PID.3><CX.1>A0000010</CX.1></PID.3><PID.4 xsi:nil="true"></PID.4><PID.5><XPN.1><FN.1>TEST, Patient 01_10</FN.1></XPN.1></PID.5><PID.6 xsi:nil="true"></PID.6><PID.7><TS.1>20001001</TS.1></PID.7><PID.8>F</PID.8></PID><PV1><PV1.1>1</PV1.1><PV1.2 xsi:nil="true"></PV1.2><PV1.3 xsi:nil="true"></PV1.3><PV1.4 xsi:nil="true"></PV1.4><PV1.5 xsi:nil="true"></PV1.5><PV1.6 xsi:nil="true"></PV1.6><PV1.7 xsi:nil="true"></PV1.7><PV1.8 xsi:nil="true"></PV1.8><PV1.9 xsi:nil="true"></PV1.9><PV1.10 xsi:nil="true"></PV1.10><PV1.11 xsi:nil="true"></PV1.11><PV1.12 xsi:nil="true"></PV1.12><PV1.13 xsi:nil="true"></PV1.13><PV1.14 xsi:nil="true"></PV1.14><PV1.15 xsi:nil="true"></PV1.15><PV1.16 xsi:nil="true"></PV1.16><PV1.17 xsi:nil="true"></PV1.17><PV1.18 xsi:nil="true"></PV1.18><PV1.19><CX.1>10010</CX.1></PV1.19></PV1></ADT_A01>
    subscribers(1) := SYS.AQ$_AGENT('b2buser', null, null);
    message_properties.RECIPIENT_LIST := subscribers;
    ipmsg := b2b.IP_MESSAGE_TYPE (msg_id, null,'EAI','EchoServer','Echo_ADTA01_Process', 'ADT_A01', '2.3.1', 1, xml_clob, null);
    dbms_aq.enqueue(queue_name => 'b2b.IP_OUT_QUEUE',
    enqueue_options => enqueue_options,
    message_properties => message_properties,
    payload => ipmsg,
    msgid => msg_handle);
    commit;
    END;
    show errors;
    then go to the B2B Report tab, can see two message like below
    EAI EchoServer MLLP - 1.0 HL7 - 2.3.1 Echo_ADTA01_Process WaitFA 2007年11月12日 星期一 下午05:51:37
    Acknowledgement Invalid 2007年11月12日 星期一 下午
    and in the log file, like this:
    2007.11.12 at 17:51:43:064: Thread-10: B2B - (DEBUG) oracle.tip.adapter.b2b.exchange.mllp.MLLPExchangePlugin:decodeIncomingMessage Could not find a Trading Partner with MLLP ID = is4-nb4. Please check the Trading Partner Identification section of your Trading Partner
    2007.11.12 at 17:51:43:064: Thread-10: B2B - (ERROR) Error -: AIP-52251: Error identifying remote trading partner at MLLP Exchange with MLLP ID is4-nb4
         at oracle.tip.adapter.b2b.exchange.mllp.MLLPExchangePlugin.decodeIncomingMessage(MLLPExchangePlugin.java:247)
         at oracle.tip.adapter.b2b.engine.Engine.processIncomingMessage(Engine.java:1177)
         at oracle.tip.adapter.b2b.engine.Engine.incomingContinueProcess(Engine.java:2030)
         at oracle.tip.adapter.b2b.engine.Engine.handleMessageEvent(Engine.java:1962)
         at oracle.tip.adapter.b2b.engine.Engine.processEvents(Engine.java:1920)
         at oracle.tip.adapter.b2b.data.MsgListener.onMessage(MsgListener.java:463)
         at oracle.tip.adapter.b2b.data.MsgListener.run(MsgListener.java:335)
         at java.lang.Thread.run(Thread.java:534)
    2007.11.12 at 17:51:43:064: Thread-10: B2B - (DEBUG) oracle.tip.adapter.b2b.exchange.mllp.MLLPExchangePlugin:decodeIncomingMessage identify trading partner by MLLP Id failed for is4-nb4 with ExceptionError -: AIP-52251: Error identifying remote trading partner at MLLP Exchange with MLLP ID is4-nb4
    2007.11.12 at 17:51:43:064: Thread-10: B2B - (ERROR) Error -: AIP-52251: Error identifying remote trading partner at MLLP Exchange with MLLP ID is4-nb4
         at oracle.tip.adapter.b2b.exchange.mllp.MLLPExchangePlugin.decodeIncomingMessage(MLLPExchangePlugin.java:257)
         at oracle.tip.adapter.b2b.engine.Engine.processIncomingMessage(Engine.java:1177)
         at oracle.tip.adapter.b2b.engine.Engine.incomingContinueProcess(Engine.java:2030)
         at oracle.tip.adapter.b2b.engine.Engine.handleMessageEvent(Engine.java:1962)
         at oracle.tip.adapter.b2b.engine.Engine.processEvents(Engine.java:1920)
         at oracle.tip.adapter.b2b.data.MsgListener.onMessage(MsgListener.java:463)
         at oracle.tip.adapter.b2b.data.MsgListener.run(MsgListener.java:335)
         at java.lang.Thread.run(Thread.java:534)
    2007.11.12 at 17:51:43:064: Thread-10: B2B - (DEBUG) oracle.tip.adapter.b2b.engine.Engine:handleExceptionBeforeIncomingTPA Enter
    2007.11.12 at 17:51:43:064: Thread-10: B2B - (DEBUG) oracle.tip.adapter.b2b.engine.Engine:XXX: handleInboundException Enter
    2007.11.12 at 17:51:43:064: Thread-10: B2B - (DEBUG) oracle.tip.adapter.b2b.engine.Engine:XXX: handleInboundException Error message is Error -: AIP-52251: Error identifying remote trading partner at MLLP Exchange with MLLP ID is4-nb4
    2007.11.12 at 17:51:43:064: Thread-10: B2B - (DEBUG) oracle.tip.adapter.b2b.engine.Engine:XXX: isFARequired Enter
    2007.11.12 at 17:51:43:064: Thread-10: B2B - (DEBUG) oracle.tip.adapter.b2b.engine.Engine:XXX: isFARequired {From=is4-nb4, FromIP=160.19.23.102, FARequired=true, protocolVersion=1.0, ToIP=160.19.55.114, Port=4911, Message-Id=1194861102002-1207274363, protocol=TCP, To=is4wingw02}
    2007.11.12 at 17:51:43:064: Thread-10: B2B - (DEBUG) oracle.tip.adapter.b2b.engine.Engine:XXX: isFARequired returning true
    2007.11.12 at 17:51:43:064: Thread-10: B2B - (DEBUG) oracle.tip.adapter.b2b.engine.Engine:XXX: handleInboundException Error Set
    2007.11.12 at 17:51:43:064: Thread-10: B2B - (DEBUG) oracle.tip.adapter.b2b.engine.Engine:XXX: createAndSendFA Enter
    2007.11.12 at 17:51:43:064: Thread-10: B2B - (DEBUG) oracle.tip.adapter.b2b.engine.Engine:XXX: createAndSendFA processed by HL7
    2007.11.12 at 17:51:43:064: Thread-10: B2B - (DEBUG) oracle.tip.adapter.b2b.document.hl7.HL7DocumentPlugin:createFA Enter
    2007.11.12 at 17:51:43:064: Thread-10: B2B - (DEBUG) oracle.tip.adapter.b2b.document.hl7.HL7DocumentPlugin:createFA Not creating an ACK for an incoming ACK Message
    2007.11.12 at 17:51:43:064: Thread-10: B2B - (DEBUG) oracle.tip.adapter.b2b.engine.Engine:XXX: createAndSendFA B2BMessage is null
    2007.11.12 at 17:51:43:064: Thread-10: B2B - (DEBUG) oracle.tip.adapter.b2b.engine.Engine:XXX: createAndSendFA Exit
    2007.11.12 at 17:51:43:064: Thread-10: B2B - (DEBUG) oracle.tip.adapter.b2b.engine.Engine:XXX: handleInboundException FA Sent
    2007.11.12 at 17:51:43:064: Thread-10: B2B - (DEBUG) DBContext beginTransaction: Enter
    2007.11.12 at 17:51:43:064: Thread-10: B2B - (DEBUG) DBContext beginTransaction: Leave
    2007.11.12 at 17:51:43:064: Thread-10: B2B - (DEBUG) oracle.tip.adapter.b2b.engine.Engine:handleInboundException Updating Error Message: Error -: AIP-52251: Error identifying remote trading partner at MLLP Exchange with MLLP ID is4-nb4
    2007.11.12 at 17:51:43:064: Thread-10: B2B - (DEBUG) oracle.tip.adapter.b2b.msgproc.DbAccess:updateWireBusinessToErrorState Enter
    2007.11.12 at 17:51:43:064: Thread-10: B2B - (DEBUG) oracle.tip.adapter.b2b.msgproc.DbAccess:updateWireBusinessToErrorState Wire message found
    2007.11.12 at 17:51:43:064: Thread-10: B2B - (DEBUG) oracle.tip.adapter.b2b.msgproc.DbAccess:updateWireBusinessToErrorState enum not null
    2007.11.12 at 17:51:43:064: Thread-10: B2B - (DEBUG) oracle.tip.adapter.b2b.msgproc.DbAccess:updateWireBusinessToErrorState Updating wire message error information
    2007.11.12 at 17:51:43:064: Thread-10: B2B - (DEBUG) oracle.tip.adapter.b2b.msgproc.DbAccess:updateWireBusinessToErrorState Updating wire message protocol message id
    2007.11.12 at 17:51:43:064: Thread-10: B2B - (DEBUG) oracle.tip.adapter.b2b.msgproc.DbAccess:updateWireBusinessToErrorState Updating wire message payload storage
    2007.11.12 at 17:51:43:080: Thread-10: B2B - (DEBUG) oracle.tip.adapter.b2b.msgproc.DbAccess:updateWireBusinessToErrorState Creating new business message
    2007.11.12 at 17:51:43:080: Thread-10: B2B - (DEBUG) oracle.tip.adapter.b2b.msgproc.DbAccess:DbAccess:insertMsgTblRow Enter
    2007.11.12 at 17:51:43:080: Thread-10: B2B - (DEBUG) oracle.tip.adapter.b2b.msgproc.DbAccess:DbAccess:insertMsgTblRow BusinessAction for the given name null null
    2007.11.12 at 17:51:43:080: Thread-10: B2B - (DEBUG) oracle.tip.adapter.b2b.msgproc.DbAccess:updateWireBusinessToErrorState Updating business message error information
    2007.11.12 at 17:51:43:080: Thread-10: B2B - (DEBUG) oracle.tip.adapter.b2b.msgproc.DbAccess:updateWireBusinessToErrorState Exit
    2007.11.12 at 17:51:43:080: Thread-10: B2B - (DEBUG) oracle.tip.adapter.b2b.engine.Engine:handleInboundException Updating Native Event Tbl Row
    2007.11.12 at 17:51:43:080: Thread-10: B2B - (DEBUG) oracle.tip.adapter.b2b.msgproc.DbAccess:DbAccess:updateNativeEvtTblRow Enter
    2007.11.12 at 17:51:43:080: Thread-10: B2B - (DEBUG) oracle.tip.adapter.b2b.msgproc.DbAccess:updateNativeEvtTblRow msgInfo.id = 1194861102002-1207274363
    2007.11.12 at 17:51:43:096: Thread-10: B2B - (DEBUG) oracle.tip.adapter.b2b.engine.Engine:handleInboundException notifying App
    2007.11.12 at 17:51:43:096: Thread-10: B2B - (DEBUG) Engine:notifyApp Enter
    2007.11.12 at 17:51:43:096: Thread-10: B2B - (DEBUG) notifyApp:notifyApp Enqueue the ip exception message:
    <Exception xmlns="http://integration.oracle.com/B2B/Exception" xmlns:xsi="http://www.w3.org/2001/XMLSchema-instance">
    <correlationId>null</correlationId>
    <b2bMessageId>A0133772116334587C90000068CD8000</b2bMessageId>
    <errorCode>AIP-52251</errorCode>
    <errorText>Error identifying remote trading partner at MLLP Exchange with MLLP ID is4-nb4</errorText>
    <errorDescription>
    <![CDATA[Machine Info: (is4wingw02)
    Error -:  AIP-52251:  Error identifying remote trading partner at MLLP Exchange with MLLP ID is4-nb4  ]]>
    </errorDescription>
    <errorSeverity>2</errorSeverity>
    </Exception>
    2007.11.12 at 17:51:43:096: Thread-10: B2B - (DEBUG) Engine:notifyApp Exit
    2007.11.12 at 17:51:43:096: Thread-10: B2B - (DEBUG) oracle.tip.adapter.b2b.engine.Engine:handleInboundException Updated the Error Message Successfully: Error -: AIP-52251: Error identifying remote trading partner at MLLP Exchange with MLLP ID is4-nb4
    2007.11.12 at 17:51:43:096: Thread-10: B2B - (DEBUG) oracle.tip.adapter.b2b.engine.Engine:XXX: handleInboundException Exit
    2007.11.12 at 17:51:43:096: Thread-10: B2B - (DEBUG) oracle.tip.adapter.b2b.engine.Engine:handleExceptionBeforeIncomingTPA Exit
    2007.11.12 at 17:51:43:096: Thread-10: B2B - (DEBUG) oracle.tip.adapter.b2b.engine.Engine:incomingContinueProcess Exit
    2007.11.12 at 17:51:43:096: Thread-10: B2B - (DEBUG) oracle.tip.adapter.b2b.engine.Engine:handleMessageEvent Exit
    2007.11.12 at 17:51:43:111: Thread-10: B2B - (INFORMATION) oracle.tip.adapter.b2b.engine.Engine:processEvents Exit
    2007.11.12 at 17:51:43:111: Thread-10: B2B - (DEBUG) DBContext commit: Enter
    2007.11.12 at 17:51:43:111: Thread-10: B2B - (DEBUG) DBContext commit: Transaction.commit()
    2007.11.12 at 17:51:43:111: Thread-10: B2B - (DEBUG) DBContext commit: Leave
    2007.11.12 at 17:51:43:111: Thread-10: B2B - (DEBUG) oracle.tip.adapter.b2b.data.MsgListener:onMessage Exit
    here said not find the remote partner, but in B2B server, can ping Echoserver.
    what is wrong?

    Hello again,
    I have tried all different combinations with the IP addresses and host names, but to no avail. Then I changed the Trading Partner Identification Type from MLLP Id to Sending Application (one of the customer requirements is to be able to identify the Trading Partner by the combination of Sending App/Sending Facility, since they are running multiple HL7 applications on one host). However, I still see the same error in the log file - for some reason, B2B is still trying to identify the Trading Partner by the MLLP Id. Redeploying the configuration didn't help, the requested identification type is ignored.
    Please help! If needed, I can send the B2B log file, but maybe I'm missing something obvious.
    BTW, the customer has installed the patch for bug 6439217 on October 10th. The B2B version is 10.1.2.2.0.
    Thanks in advance!

  • DOCUMENT SPILTTING ON BASIS OF TRADING PARTNER(VBUND) FIELD

    Dear Friends
    We are on ECC 5.0, we have activated document splitting on BUSINESS AREA basis..
    As for new requirement for consolidated financial reports, we have also added TRADING PARTNER(vbund) field for document splitting ..
    We have define companies(trading partner), assign them to relevant customer and vendor master.
    Also have tick INTER COMPANY POSTING AND TRADING PARTNER field in document types(OBA7)
    in documents, with vendor and customer relevant line items trading partner is coming automatically..
    for G/L related line items we want that trading partner should come automatically through document splitting ..
    please note that we cant assign trading partner with G/Ls in chart of accounts as same G/Ls can be used with different different trading partner at the same time..
    Kindly help me in this issue..
    Regards
    Expertia..

    Document Splitting is too complex a concept for Substitution.  If you have to just copy the Business partner to the missing lines, then you can use substitution.  But if you have more than one BP in any entry and the transaction has to generate entries accordingly to balance it, substitution cannot do that.
    If you are trying to split on any field other than Business Area, Profit Center and Segment, it involves a lot of work in terms of configuration and development.  You have to develop your custom routine to enable splitting on your selected field (VBUND) in your case.
    If I remember right, there is a consulting note which explains a brief summary of what is to be done for having Document splitting on custom fields.  You can try searching Service Market place.
    Ravi.

  • Busines partner trading partner in TRM

    Hello
    Where can I enter the trading partner id (vbund) in the business partner? We have a business partner that is our counterparty in financial transactions. For consolidation preparation (in BCS for example) the trading partner has to be entered in the GL document lines.
    Kind regards
    Arjan

    Hi,
    Once you assign Trading Partner to Counterparty it will be automatically filled in the posting document. You can check in FBL3N/FBL5N display by including field Trading Partner.
    Regards
    Prasad AV

  • Using a Trading Partner Directory Implementation for Companies

    Hello experts,
    I am looking into configuring delegate useradmin using companies.
    The UME approach requires a engine reboot and somhow doesnt fit our requirements.
    The second approach - "Trading partner directory implementation" seems feasible.
    To implement this do I need to have any additional Bussiness package or additional installation for my portal? The document does state that this approach is only available with SAP supplier relationship management. What does this mean??
    thanks,
    Vineeth

    Hello Peng Ronan,
    Did you have any success with your Trading Partner Directory?
    Our project includes ECC, CRM 5.1, SRM6.0 and Portal7.0. We have this CRM scenario where a customer (manager) logs on and approves one of his employees, already self-registered, as a customer Portal user. UME seems to support that scenario, but it can only retrieve company information from a SRM backend system using a custom implementation of the Trading Partner Directory interface. In our case it is a CRM scenario and CRM Business Partners are not replicated on SRM.
    What is that SRM Trading Partner Directory interface and how much effort is involved in this custom implementation?
    Does the portal need to restart for new Companies to be added?
    Is this only for EBP scenario?
    Is there a better way to update the list of companies in UME from a list of CRM Business Partner?
    Thanks

  • Trading partner agreement not found

    Hi,
    Can anyone help me resolving the below error:
    Trading partner agreement not found for the given input values: From party[TYPE-VALUE] "Generic Identifier-10.22.110.110", To party[TYPE-VALUE] "Generic Identifier-*.*.*.*", Business action name "PRC_EDI_X12_850_4010"; also verify agreement effectiveToDate
    I am trying to submit an EDI 850 document to the b2b/transportServlet through a client program. The business protocol I am using is EDI X12 over Generic Exchange (HTTP 1.1).
    Thanks.

    Hi,
    Thanks when I put the actual IP addresses it worked. Now I have few questions, it would be great help if you could answer them.
    1. The machine where B2B Integration is installed has been assigned with multiple IP addresses. Only the first two set of numbers are same and the last two numbers are different. For example : 10.90.12.80, 10.90.18.22. Therefore for the host partner if I need to assign the Generic Identifier which IP do I need to choose? Also which IP I should be using for the Transport Server?
    2. I want to accept all the cXML ORDER messages sent by all trading partners(TP) to resolve one TP in B2B Integration. We are going to lookup the TP in our BPEL process, so we only need the B2B integration to validate the document sent in . Therefore all the four subnets in the IP address may vary. In this case I cannot use a IP address therefore how can I specify the Generic Identifier? Or is there any different method I can use?
    3. I receive my cXML punchout from my trading partners from different countries, for example say Italy and France. The trading partner id is same but the country from where the punchout originated is different. I don’t have any other field in the message to determine which country the order originated from but I need to figure out the country code some how. In current implementation we have different URL for each country to resolve the country code. How can I do this in B2B Integration tool?
    4. Is there a way to Dynamically change the URL that a Delivery channel is supposed to send to? If a customer changes the URL that a document is supposed to go to, can we change this on the fly?

Maybe you are looking for

  • WebSphere MQ JMS adapter

    I've been stuck on this for nearly a week, think I better ask here... After adding the following JAR file from MQ6 client to com.sap.aii.af.jmsproviderlib: CL3Export.jar CL3Nonexport.jar com.ibm.mq.jar com.ibm.mqjms.jar connector.jar dhbcore.jar rmm.

  • Why does the 3g data network fail every day?

    Goes down for at least an hour a day

  • IPod restore - unknown error 1418?

    I was trying to restore my iPod since it skips every single song except for the ones that I have purchased from the iTunes store and I keep getting this error. Does anyone know what this error means and how to fix it or restore your iPod without gett

  • Calling HANA procedures and Views in oracle DB as secondary DB

    Hi Experts I have a doubt we know using secondary database connection we can access HANA DB My primary database is Oracle and Secondary DB is HANA While creating secondary database connection we need to define default schema. As we know we can access

  • [TS 41] UI Auto Load Sequence Files

    Hi All I had a labVIEW UI that could load a sequence file when opened (user could change sequence file at run-time).  However, when shifting TestStand from 4.0 to 4.1 (and LabVIEW from 8.5 to 8.6).  The VI still could load the sequence but all the Te