Transaction FIBAN and fields tiban-tabname, tiban-tabkey
Hello all,
I want to update IBAN codes for a large volume of vendor bank accounts. Instead of using LSMW in XK02, I believe that using transaction FIBAN is much easier. The only problem I see is that when I use FIBAN the fields tiban-tabname and tiban-tabkey remain blank (I can not fill them). On the other hand they are filled if I do the job through XK02 transaction.
Is there any problem with that?
Any comment will be valuable.
Thank you in advance.
Hi Malik,
Try this
the common fields in both tables are
BANKS Bank country key
BANKL Bank Keys
BANKN Bank account number
BKONT Bank Control Key
using these u can fetch required fields
Vijay.
Similar Messages
-
A way to find out tables and fields referred by a transaction
I want to know whether there is a way to find all the database tables and fields referred by a transaction. I know that we can do F1 on each field to get the reference table and the fielname but its taking a lot of time for me..I need to know if there is any program or a way(some tool) to find out the tables and fieldnames for a transaction. Any help would be greatly appreciated..
Thanks,
Mohsin.Hi Mohsin,
As suggested <b>SQL Trace</b> is the best Option.
Say inorder to Find the field inf. you can use SQL trace (ST05) .
<b>Steps for the same:</b>
1) Go to ST05 --> Activate Trace.
2) Run the trasaction , make some changes to the field for which you want to have the table name then SAVE.
3) Go again to ST05 ---> Deactive Trace
4) List trace
5) Then search for the chaged value which u had done on that transaction.
6) With this you will be able to see the table name in the Obj. name column.
**How can we find out what tables are being referred for what field???.
For this , one way which i follow other then F1 is :
<b>i follow Steps 2 and step 5</b> which help me to locate those values only for which i am looking for the table only as with the changed value in transaction which u had done in step 2 and after saving it it will go to the DB table and on searching the same changed value in the trace give u the quick link of the table .
It helped me many times and saves time by doing linke this otherwise u have got all the options to as suggested by the FORUM .
Cheers
Sunny
Rewrd points, if found helpful -
How to read tables and fields transaction,how to find table from a strucre
hi all,
i am having problem in reading tables and fields for developing a customised report. can anybady help me how to extract tabele and fields from a transaction code and how to map table from a structure.
It will me much help full, if u had any documentation. u should be appreciated.
Thanking u
kiran
Message was edited by:
kiranHi Kiran,
You can make use of the tables or Views available.
Reward If Useful.
Regards,
Chitra -
Transactional dependent field status variant and field status varinat
hi gurus,
can any one please tell me what is transactional dependent field status variant and field status varinat and what is the difference between the both,what this both control?
appreciated if answered.
Regards,
sandeep.chHi
Any field status varinat is a bundle of filed status grouop(FSG). A FSG will control the Screen layout of the Document while you post.Whether a filed is required, optional or suppressed etc.
Transactional dependent data:
Transaction Dependent Control - Field status can also be configured at the master data transaction level i.e. during Create, Change, and Display. Thus, if a user wishes that after creation of master data certain fields should not be changed, same can be set as 'Display'. One such example can be fields like reconciliation account, payment terms etc.So these terms remain constant while posting and user cant change these fields.
Regards
Aravind
Assign points if useful. -
Sale Order Item Level Text Field which table and field
Hi,
Thanks for your prompt reply and best solution.
Can you please tell me one more thing, in sale order at item level the TEXT Field maintaining by user at transaction level now they want that field in one of the report, so can you please tell what is the table and field where i will get this sale order item level text details.Hello,
is this going to work for item level text as well.
can you tell how to proceed with this functional module
or is there any other thing required.Please elaborate to
understand better way.
You can check out two table in respect to Sales TEXT i.e. STXH (STXD SAPscript text file header) and STXL(SAPscript text file lines).
The best approach of tracing out the Text in respect to Sales Order would be to use the Function module READ_TEXT and put this FM in SE37 and execute with the following parameter.
Client
Text ID of text to be read
Language of text to be read
Name of text to be read
Object of text to be read
Archive handle
Text catalog local
When you are essentially looking to read item level Text with respect to Sales Order then your Text OBject would be VBBP.
Regards,
Sarthak -
Hi plz help me to find out the table name and field names as i am unable to find .....In the spec am given requirements in the following pattern.
Description SAP-Term Explaination
1.Salesman Equipment AC Mgr. VBPA2 this is the salesman code - I need the
description for this.
2.Vendor MEPO_TOPLINE-SUPERFIELD Vendor field is pull from me23n where the
condition will be that COBL-KDAUF (this is a
structure from me23n in item data-account
assignment-sales order. The number here should
be the corresponding contract number. This field
should include a multiple selection function. User
can put more than one description to search for.
3. Val. Period Val. Period Category Val. Period Category from va41 header-contract
Category data. This field should include a multiple selection
function. User can put more than one description
to search for.
4. Service Order/ CAUFVD-GSTRP/ This should be the document date where by it is in
Purchase Order MEPO_TOPLINE-BEDAT between the range the user input
Document Date
5. B2B Vendor MEPO_TOPLINE-SUPERFIELD Vendor field is pull from me23n where the condition
will be that COBL-KDAUF (this is a structure from
me23n in item data-account assignment-sales
order. The number here should be the
corresponding contract number.
6. B2B Cost MEPO1211-NETPR This cost is pulled from PO (me23n) however take
note that the price will be pulled out base on line
item Net Price. Make sure that price is taken
corresponding only to the equipment tied to it.
Check on Number 7 to see how is the line item tied
to the equipment.
If this is in other currency please make it to SGD
with the exchange rate field Exchange rate
(MEPO1226-WKURS)
NOTE:: I need to know the table from which I can
determine the currency type as can be seen in the
ME23N transaction and also te exchange rate for
that particular currency.
7. No of faults The service order (CAUFVD-AUFNR) created base
on the equipment in Number 8. This should exclude
the service order of type RD08. Service order can be
access by IW33.
8. Faults Completed This would be the number of faults (Number 13)
which has a system status (CAUFVD-STTXT) of
TECO. System status can be viewed in IW33 Sys.
Status. Take note service order type RD08 will be
excluded
9. Time Spent on Fault AFVGD-ISMNW This field is in IW41 in confirmation base on the
order created. This field will be the actual time
spent. This will correspond to the Faults
Completed (Number 14). This means only orders
with system status TECO will be pull. Take not
service order type RD08 will be excluded
10. Fault Cost RIHAUFK_LIST- DGESKOSIST This will be the total cost for a service order which
have the status TECO. Those which are not TECO
will not be needed. This field can be obtain from
IW39 (standard report). Execute the report and
there will be a field for Total Actual Cost. You might
need to change the screen layout to be able to view
this. Take note service order type RD08 will be
excluded
11. PM Hours AFVGD-ISMNW This field is in IW41 in confirmation base on the
order created. This field will be the actual time
spent. This will correspond to the Faults Completed
This means only orders with system
status TECO will be pull. Take note service only
take order type RD08.
12. Spare Cost Spare part cost This field will be in IW33 under cost tab, and cost
PMCOEA-IKOSTENKGR tab in item level. This will be the actual cost of spare
part after TECO. This will include all order type.
13. Credit Note Credit Memo The programs need to pull out credit memo which is
reference from the contract. If there is a credit memo
reference from the contract then the value will be net
price per equipment.Can u tell me purpose of this spec ?
Regards,
pandu. -
hi frds
Give me table name and field name of OPEN PO QUANTITY ..
thanks
Pari Vendhan.RSee the sample code for the open PO's based on Vendor
and do accordingly
*& Report ZMM_PO_REPORT
REPORT ZMM_PO_REPORT message-Id yb
NO STANDARD PAGE HEADING
LINE-COUNT 60(1)
LINE-SIZE 230.
D A T A B A S E T A B L E S D E C L A R A T I O N
TABLES: lfa1, " Vendor Master
t161, " PO Doc Types
t024, " Purchase Groups
ekko. " PO Header
T Y P E S D E C L A R A T I O N S
Purchase Orders Main Structure
TYPES: BEGIN OF s_po,
ebeln TYPE ebeln, " PO No.
ebelp TYPE ebelp, " PO Item
bstyp TYPE bstyp, " PO Category
bukrs TYPE bukrs, " Company Code
bsart TYPE bbsrt, " PO Type
lifnr TYPE lifnr, " Vendor No
ekgrp TYPE bkgrp, " Purchase Group
waers TYPE waers, " Currency
bedat TYPE etbdt, " PO Date
txz01 TYPE txz01, " Material Text
werks TYPE ewerk, " Plant
lgort TYPE lgort_d, " Storage Location
matkl TYPE matkl, " Material Group
menge TYPE bamng, " PR Quantity
meins TYPE bamei, " UOM
bprme TYPE bbprm, " Price Unit
netpr TYPE netpr, " Net price
peinh TYPE peinh, " Price Unit UOM
pstyp TYPE pstyp, " Item Category
knttp TYPE knttp, " Account Assignment Category
END OF s_po.
Purchase Orders History Structure
TYPES: BEGIN OF s_account,
ebeln TYPE ebeln, " PO No.
ebelp TYPE ebelp, " PO Item
gjahr TYPE mjahr, " Fiscal Year
belnr TYPE mblnr, " PO Invoice No
menge TYPE menge_d, " PR Quantity
wrbtr TYPE wrbtr, " Price in Local Currency
dmbtr TYPE dmbtr, " Price in Foreign Currency
waers TYPE waers, " Currency
shkzg TYPE shkzg, " Dr/Cr Indicator
END OF s_account.
Purchase Orders History Structure(Item Sum)
TYPES: BEGIN OF s_inv_sum,
ebeln TYPE ebeln, " PO No.
ebelp TYPE ebelp, " PO Item
menge TYPE menge_d, " PR Quantity
wrbtr TYPE wrbtr, " Price in Foreign Currency
waers TYPE waers, " Currency
END OF s_inv_sum.
Purchase Orders Main Structure
TYPES: BEGIN OF s_rep,
lifnr TYPE lifnr, " Vendor No
ebeln TYPE ebeln, " PO No.
ebelp TYPE ebelp, " PO Item
bstyp TYPE bstyp, " PO Category
bsart TYPE bbsrt, " PO Type
ekgrp TYPE bkgrp, " Purchase Group
waers TYPE waers, " Currency
bedat TYPE etbdt, " PO Date
txz01 TYPE txz01, " Material Text
werks TYPE ewerk, " Plant
lgort TYPE lgort_d, " Storage Location
matkl TYPE matkl, " Material Group
menge TYPE bamng, " PR Quantity
meins TYPE bamei, " UOM
bprme TYPE bbprm, " Price Unit
netpr TYPE netpr, " Net price
peinh TYPE peinh, " Price Unit UOM
pstyp TYPE pstyp, " Item Category
knttp TYPE knttp, " Account Assignment Category
name1 TYPE name1, " Plant
orewr TYPE netpr, " To be Invoiced Price
curr TYPE waers, " Inv Doc Currency
END OF s_rep.
D A T A D E C L A R A T I O N S
DATA: gv_title1 TYPE sylisel, " Report title
gv_dial. " Color flag
C O N S T A N T S D E C L A R A T I O N S
CONSTANTS: c_x VALUE 'X', " Flag X
c_h VALUE 'H', " Debit
c_vgabe TYPE vgabe VALUE '2'. " Transaction Type
I N T E R N A L T A B L E S D E C L A R A T I O N S
DATA: i_po TYPE STANDARD TABLE OF s_po WITH HEADER LINE,
" Purchase Order
i_inv TYPE STANDARD TABLE OF s_inv_sum WITH HEADER LINE,
" PO Invoice Values
i_rep TYPE STANDARD TABLE OF s_rep WITH HEADER LINE,
" PO Invoice Values
i_ekbe TYPE STANDARD TABLE OF s_account WITH HEADER LINE.
" PO Invoice Values
S E L E C T I O N S C R E E N *
SELECTION-SCREEN BEGIN OF BLOCK b1 WITH FRAME TITLE text-001.
SELECT-OPTIONS: s_lifnr FOR lfa1-lifnr MATCHCODE OBJECT kred,
s_ebeln FOR ekko-ebeln MATCHCODE OBJECT mekk,
s_bsart FOR t161-bsart,
s_ekgrp FOR t024-ekgrp,
s_bedat FOR ekko-bedat.
SELECTION-SCREEN END OF BLOCK b1.
I N I T I A L I Z A T I O N *
INITIALIZATION.
A T S E L E C T I O N - S C R E E N *
AT SELECTION-SCREEN.
Validate the screen fields
PERFORM validate_screen.
S T A R T - O F - S E L E C T I O N *
START-OF-SELECTION.
Fetch main data
PERFORM fetch_data.
T O P - O F - P A G E *
TOP-OF-PAGE.
Header of the List
PERFORM header.
E N D - O F - P A G E *
Footer
END-OF-PAGE.
ULINE.
E N D - O F - S E L E C T I O N *
END-OF-SELECTION.
Display the Report Output data
PERFORM display_data.
At Line-Selection
AT LINE-SELECTION.
When double clicked on EBELN display the details of Purchase Doc
PERFORM line_sel.
*& Form validate_screen
Validation of Selection Screen fields
FORM validate_screen .
Validation of Vendor Number
CLEAR lfa1-lifnr.
IF NOT s_lifnr[] IS INITIAL.
SELECT lifnr UP TO 1 ROWS
INTO lfa1-lifnr
FROM lfa1
WHERE lifnr IN s_lifnr.
ENDSELECT.
IF sy-subrc 0.
MESSAGE e000 WITH 'Invalid Vendor'(002).
ENDIF.
ENDIF.
Validation of PO Number
CLEAR ekko-ebeln.
IF NOT s_ebeln[] IS INITIAL.
SELECT ebeln UP TO 1 ROWS
INTO ekko-ebeln
FROM ekko
WHERE ebeln IN s_ebeln.
ENDSELECT.
IF sy-subrc 0.
MESSAGE e000 WITH 'Invalid Document Number'(003).
ENDIF.
ENDIF.
Validation of PO Document Type
CLEAR t161-bsart.
IF NOT s_bsart[] IS INITIAL.
SELECT bsart UP TO 1 ROWS
INTO t161-bsart
FROM t161
WHERE bsart IN s_bsart.
ENDSELECT.
IF sy-subrc 0.
MESSAGE e000 WITH 'Invalid Purchase Document Type'(004).
ENDIF.
ENDIF.
Validation of Purchasing Group
CLEAR t024-ekgrp.
IF NOT s_ekgrp[] IS INITIAL.
SELECT ekgrp UP TO 1 ROWS
INTO t024-ekgrp
FROM t024
WHERE ekgrp IN s_ekgrp.
ENDSELECT.
IF sy-subrc 0.
MESSAGE e000 WITH 'Invalid Purchasing Group'(005).
ENDIF.
ENDIF.
ENDFORM. " validate_screen
*& Form fetch_data
Fetching the PO related data from Database Tables
FORM fetch_data .
CLEAR i_po.
REFRESH i_po.
SELECT a~ebeln " PO No.
b~ebelp " PO Item
a~bstyp " PO Category
a~bukrs " Company Code
a~bsart " PO Type
a~lifnr " Vendor No
a~ekgrp " Purchase Group
a~waers " Currency
a~bedat " PO Date
b~txz01 " Material Text
b~werks " Plant
b~lgort " Storage Location
b~matkl " Material Group
b~menge " PR Quantity
b~meins " UOM
b~bprme " Price Unit
b~netpr " Net price
b~peinh " Price Unit UOM
b~pstyp " Item Category
b~knttp " Account Assignment Category
INTO TABLE i_po
FROM ekko AS a JOIN ekpo AS b
ON a~ebeln = b~ebeln
WHERE a~ebeln IN s_ebeln AND
a~lifnr IN s_lifnr AND
a~ekgrp IN s_ekgrp AND
a~bsart IN s_bsart AND
a~bedat IN s_bedat.
SORT i_po BY ebeln ebelp.
break-point.
IF NOT i_po[] IS INITIAL.
Fetch the PO History/Invoice Details from EKBE Table
CLEAR i_ekbe.
REFRESH i_ekbe.
SELECT ebeln " PO No.
ebelp " PO Item
gjahr " Fiscal Year
belnr " PO Invoice No
menge " PR Quantity
wrbtr " Price in Local Currency
dmbtr " Price in Foreign Currency
waers " Currency
shkzg " Dr/Cr Indicator
INTO TABLE i_ekbe
FROM ekbe
FOR ALL ENTRIES IN i_po
WHERE ebeln = i_po-ebeln AND
ebelp = i_po-ebelp AND
vgabe = c_vgabe.
IF sy-subrc = 0.
SORT i_ekbe BY ebeln ebelp.
LOOP AT i_ekbe.
IF i_ekbe-shkzg = c_h.
i_ekbe-wrbtr = i_ekbe-wrbtr * -1.
ENDIF.
MODIFY i_ekbe.
ENDLOOP.
break-point.
Sum up the Item wise Invoice totals
LOOP AT i_ekbe.
AT END OF ebelp.
READ TABLE i_ekbe INDEX sy-tabix.
SUM.
MOVE-CORRESPONDING i_ekbe TO i_inv.
APPEND i_inv.
ENDAT.
CLEAR i_inv.
ENDLOOP.
SORT i_inv BY ebeln ebelp.
break-point.
ENDIF.
ENDIF.
Move the Vendor Name and Invoice Values to I_rep Internal Table
LOOP AT i_po.
MOVE-CORRESPONDING i_po TO i_rep.
CLEAR i_inv.
READ TABLE i_inv WITH KEY ebeln = i_po-ebeln
ebelp = i_po-ebelp.
IF sy-subrc = 0.
i_rep-orewr = ( i_po-menge - i_inv-menge ) * i_po-netpr.
i_rep-curr = i_inv-waers.
ELSE.
i_rep-orewr = i_po-menge * i_po-netpr.
i_rep-curr = i_po-waers.
ENDIF.
break-point.
Get the Vendor Name
CLEAR lfa1-name1.
SELECT SINGLE name1 FROM lfa1 INTO lfa1-name1
WHERE lifnr = i_po-lifnr.
IF sy-subrc = 0.
i_rep-name1 = lfa1-name1.
ENDIF.
APPEND i_rep.
CLEAR i_rep.
break-point.
ENDLOOP.
SORT i_rep BY lifnr ebeln ebelp.
DELETE i_rep WHERE orewr LE 0.
break-point.
ENDFORM. " fetch_data
*& Form display_data
Display the Report Output data
FORM display_data .
DATA: lv_flag, " New Flag
lv_rec TYPE i. " No of Records
CLEAR lv_rec.
IF i_rep[] IS INITIAL.
MESSAGE e000 WITH 'No Data found'(022).
ELSE.
LOOP AT i_rep.
Toggle Color
PERFORM toggle_color.
IF lv_flag space.
NEW-LINE.
ENDIF.
At New Purchase Document
AT NEW ebeln.
WRITE:/1 sy-vline, 2(10) i_rep-ebeln INTENSIFIED OFF.
lv_flag = c_x.
lv_rec = lv_rec + 1.
ENDAT.
WRITE: 1 sy-vline,
12 sy-vline,13(4) i_rep-bsart,
17 sy-vline,18(10) i_rep-lifnr,
28 sy-vline,29(35) i_rep-name1,
64 sy-vline,65(4) i_rep-ekgrp,
69 sy-vline,70(10) i_rep-bedat,
80 sy-vline,81(5) i_rep-ebelp,
86 sy-vline,87(40) i_rep-txz01,
127 sy-vline,128(9) i_rep-matkl,
137 sy-vline,138(1) i_rep-pstyp,
139 sy-vline,140(1) i_rep-knttp,
141 sy-vline,142(4) i_rep-werks,
146 sy-vline,147(4) i_rep-lgort,
151 sy-vline,152(13) i_rep-menge UNIT i_rep-meins,
165 sy-vline,166(3) i_rep-meins,
169 sy-vline,170(15) i_rep-netpr CURRENCY i_rep-waers,
185 sy-vline,186(4) i_rep-waers,
190 sy-vline,191(5) i_rep-peinh,
196 sy-vline,197(4) i_rep-bprme,
201 sy-vline,202(15) i_rep-orewr CURRENCY i_rep-curr,
217 sy-vline,218(4) i_rep-curr,
222 sy-vline,223(7) i_rep-bstyp centered,
230 sy-vline.
NEW-LINE.
hide: i_rep-ebeln.
ENDLOOP.
ULINE.
FORMAT COLOR OFF.
WRITE : /2 'Total Number of Purchasing Documents:'(025) COLOR 3,
lv_rec COLOR 3.
ENDIF.
ENDFORM. " display_data
*& Form header
Write the Report Header
FORM header .
FORMAT RESET.
header
WRITE:/1(230) 'LIST OF PURCHASE DOCUMENTS PER VENDOR'(006) CENTERED.
SKIP.
FORMAT COLOR COL_HEADING.
ULINE.
WRITE:/1 sy-vline,2(10) 'Pur.Doc.No'(006) CENTERED,
12 sy-vline,13(4) 'Type'(007),
17 sy-vline,18(10) 'Vendor'(008) CENTERED,
28 sy-vline,29(35) 'Name'(009) CENTERED,
64 sy-vline,65(4) 'PGrp'(010) CENTERED,
69 sy-vline,70(10) 'Doc.Date'(012) CENTERED,
80 sy-vline,81(5) 'Item'(011),
86 sy-vline,87(40) 'Material Short Text'(024) CENTERED,
127 sy-vline,128(9) 'Mat.Group'(013),
137 sy-vline,138(1) 'I',
139 sy-vline,140(1) 'A',
141 sy-vline,142(4) 'Plnt'(014),
146 sy-vline,147(4) 'SLoc'(015),
151 sy-vline,152(13) 'Quantity'(016) CENTERED,
165 sy-vline,166(3) 'UoM'(017),
169 sy-vline,170(15) 'Net Value'(018) CENTERED,
185 sy-vline,186(4) 'Curr'(019),
190 sy-vline,191(5) 'Per'(020),
196 sy-vline,197(4) 'Unit'(021),
201 sy-vline,202(15) 'To be Invoiced'(023) CENTERED,
217 sy-vline,218(4) 'Curr'(019),
222 sy-vline,223(7) 'Doc.Cat'(026),
230 sy-vline.
ULINE.
ENDFORM. " header
*& Form toggle_color
This routine alters the color of the records in the list FORM toggle_color.
IF gv_dial = space.
FORMAT COLOR COL_NORMAL INTENSIFIED OFF.
gv_dial = c_x.
ELSE.
FORMAT COLOR 1 INTENSIFIED OFF.
CLEAR gv_dial.
ENDIF.
ENDFORM. " toggle_color
*& Form LINE_SEL
*When double clicked on EBELN field display the details of Purchase Doc
FORM line_sel.
CASE sy-lsind.
WHEN '1'.
DATA: lv_field(20),
lv_value(10),
lv_bstyp like i_rep-bstyp.
clear: lv_bstyp,lv_value, lv_field.
GET CURSOR FIELD lv_field VALUE lv_value.
IF lv_field = 'I_REP-EBELN'.
IF NOT lv_value IS INITIAL.
READ LINE sy-index FIELD VALUE i_rep-bstyp
INTO lv_bstyp.
READ CURRENT LINE FIELD VALUE i_rep-bstyp INTO lv_bstyp.
if lv_bstyp = 'F'.
SET PARAMETER ID 'BES' FIELD lv_value.
CALL TRANSACTION 'ME23N' AND SKIP FIRST SCREEN.
elseif ( lv_bstyp = 'K' or lv_bstyp = 'L' ).
SET PARAMETER ID 'VRT' FIELD lv_value.
CALL TRANSACTION 'ME33' AND SKIP FIRST SCREEN.
elseif lv_bstyp = 'A'.
SET PARAMETER ID 'ANF' FIELD lv_value.
CALL TRANSACTION 'ME43' AND SKIP FIRST SCREEN.
endif.
ENDIF.
ENDIF.
ENDCASE.
ENDFORM. " line_sel{code]
<REMOVED BY MODERATOR>
kushagra
Edited by: Alvaro Tejada Galindo on Feb 18, 2008 2:03 PM -
CALL TRANSACTION 'MIR6' AND SKIP FIRST SCREEN .
Hi all,
i hope there is someone that can help me.
My problem is: in an ABAP custom report in a FORM user-command my code is
CASE ls_selfield-sel_tab_field.
WHEN 'ITAB-BELNR'.
IF NOT ls_selfield-value IS INITIAL.
SET PARAMETER ID 'RBN' FIELD ls_selfield-value.
CALL TRANSACTION 'MIR6' AND SKIP FIRST SCREEN .
ENDCASE.
When i click on output field of my report, not skip first screen but only call MIR6!!!
How can i solve this problem?
Regards.Hi,
First of all Please don't use all Caps for Subject Line
Test Following Sample Code it will solve out your problem,
DATA: it_bdcdata TYPE TABLE OF bdcdata,
wa_it_bdcdata LIKE LINE OF it_bdcdata,
belnr(10).
belnr = '100'. " Give Document Number here
DATA opt TYPE ctu_params.
CLEAR wa_it_bdcdata.
wa_it_bdcdata-program = 'SAPMM08N'.
wa_it_bdcdata-dynpro = '100'.
wa_it_bdcdata-dynbegin = 'X'.
APPEND wa_it_bdcdata TO it_bdcdata.
CLEAR wa_it_bdcdata.
wa_it_bdcdata-fnam = 'BDC_CURSOR'.
wa_it_bdcdata-fval = 'SO_BELNR-LOW'.
APPEND wa_it_bdcdata TO it_bdcdata.
CLEAR wa_it_bdcdata.
wa_it_bdcdata-fnam = 'SO_BELNR-LOW'.
wa_it_bdcdata-fval = BELNR.
APPEND wa_it_bdcdata TO it_bdcdata.
CLEAR wa_it_bdcdata.
wa_it_bdcdata-fnam = 'BDC_OKCODE'.
wa_it_bdcdata-fval = '=CRET'.
APPEND wa_it_bdcdata TO it_bdcdata.
opt-dismode = 'E'.
CALL TRANSACTION 'MIR6' USING it_bdcdata OPTIONS FROM opt.
Please Reply if any Issue,
Best Regards,
Faisal -
Call transaction 'LS33' and skip first screen.
This doesn't work:
set parameter id 'LEN' field '04018091'.
call transaction 'LS33' and skip first screen.
I've found this:
<a href="https://www.sdn.sap.com/irj/sdn/message?messageID=3715690">https://www.sdn.sap.com/irj/sdn/message?messageID=3715690</a>
but I'm not sure about the exact meaning (wouldn't know where to put the *)
nor even about if it applies.
Thanks in advance.Sorry, I mistook this forum for that of ABAP General.
Anyway, the answer is in
Call transaction 'LS33' and skip first screen. -
CALL TRANSACTION 'ME23N' AND SKIP FIRST SCREEN.
Hi,
i'm using this in an report.
SET PARAMETER ID 'BES' FIELD WA_ITAB-EBELN.
SET PARAMETER ID 'BSP' FIELD WA_ITAB-EBELP.
CALL TRANSACTION 'ME23N' AND SKIP FIRST SCREEN.
It works OK.
Is there any parameter ID to go in a sprecial part of an PO, for example
direct to materialdata or konditions?.
thanks.
Regards, DieterHi,
I think u can do that by using BDC as used in this code please refer to this code.
FORM get_user_command USING cr_ucomm LIKE sy-ucomm "#EC *
cr_selfield TYPE slis_selfield.
CLEAR wa_final.
DATA BEGIN OF bdcdata OCCURS 10.
INCLUDE STRUCTURE bdcdata.
DATA END OF bdcdata.
CASE cr_ucomm.
WHEN '&IC1'.
READ TABLE it_final INTO wa_final
INDEX cr_selfield-tabindex.
IF cr_selfield-fieldname = 'MATNR'.
IF sy-subrc IS INITIAL.
SET PARAMETER ID 'MXX' FIELD 'E'.
SET PARAMETER ID 'MAT' FIELD wa_final-matnr.
SET PARAMETER ID 'WRK' FIELD wa_final-werks.
CALL TRANSACTION 'MM03' AND SKIP FIRST SCREEN.
ENDIF.
ELSEIF cr_selfield-fieldname = 'LIFNR'.
IF sy-subrc IS INITIAL.
CLEAR bdcdata.
bdcdata-program = 'SAPMF02K'.
bdcdata-dynpro = '0101'.
bdcdata-dynbegin = 'X'.
APPEND bdcdata.
CLEAR bdcdata.
bdcdata-fnam = 'RF02K-LIFNR'.
bdcdata-fval = wa_final-lifnr.
APPEND bdcdata.
CLEAR bdcdata.
bdcdata-fnam = 'RF02K-EKORG '.
bdcdata-fval = wa_final-ekorg.
APPEND bdcdata.
CLEAR bdcdata.
bdcdata-fnam = 'RF02K-D0310'.
bdcdata-fval = 'X'.
APPEND bdcdata.
CLEAR bdcdata.
bdcdata-fnam = 'WRF02K-D0320'.
bdcdata-fval = 'X'.
APPEND bdcdata.
CLEAR bdcdata.
bdcdata-fnam = 'BDC_OKCODE'.
bdcdata-fval = '/00'.
APPEND bdcdata.
CLEAR bdcdata.
bdcdata-program = 'SAPMF02K'.
bdcdata-dynpro = '0110'.
bdcdata-dynbegin = 'X'.
APPEND bdcdata.
CALL TRANSACTION 'XK03' USING bdcdata MODE 'E'.
ENDIF.
ENDIF.
ENDCASE.
ENDFORM. " get_user_command
regards,
sudha -
What are the tables and fields in fico & sd module
what are the tables and fields in fico & sd module
Hi,
<b> Sales and Distribution:</b>
Customers KNA1 General Data
KNB1 Customer Master Co. Code Data (payment method, reconciliation acct)
KNB4 Customer Payment History
KNB5 Customer Master Dunning info
KNBK Customer Master Bank Data
KNKA Customer Master Credit Mgmt.
KNKK Customer Master Credit Control Area Data (credit limits)
KNVV Sales Area Data (terms, order probability)
KNVI Customer Master Tax Indicator
KNVP Partner Function key
KNVD Output type
KNVS Customer Master Ship Data
KLPA Customer/Vendor Link
Sales Documents VBAKUK VBAK + VBUK
VBUK Header Status and Administrative Data
VBAK Sales Document Header Data
VBKD Sales Document Business Data
VBUP Item Status VBAP Sales Document Item Data
VBPA Partners
VBFA Document Flow
VBEP Sales Document Schedule Line
VBBE Sales Requirements: Individual Records
SD Delivery DocumeLIPS Delivery Document item data, includes referencing PO
LIKP Delivery Document Header data
Billing Document VBRK Billing Document Header
VBRP Billing Document Item
SD Shipping Unit VEKP Shipping Unit Item (Content)
VEPO Shipping Unit Header
<b>Financial Accounting</b>
FBAS Financial Accounting Basis
BKPF Accounting Document Header BUKRS / BELNR / GJAHR
BSEG Accounting Document Segment BUKRS / BELNR / GJAHR / BUZEI
BSIP Index for Vendor Validation of Double BUKRS / LIFNR / WAERS / BLDAT /
Documents XBLNR / WRBTR / BELNR / GJAHR / BUZEI
BVOR Inter Company Posting Procedure BVORG / BUKRS / GJAHR / BELNR
EBKPF Accounting Document Header (docs from GLSBK / BELNR / GJHAR / GLEBK
External Systems)
FRUN Run Date of a Program PRGID
KLPA Customer / Vendor Linking NKULI / NBUKR / NKOAR / PNTYP
/ VKULI / VBUKR / VKOAR
KNB4 Customer Payment History KUNNR / BUKRS
KNB5 Customer Master Dunning Data KUNNR / BUKRS / MABER
KNBK Customer Master Bank Details KUNNR / BANKS / BANKL / BANKN
KNC1 Customer Master Transaction Figures KUNNR / BUKRS / GJHAR
KNC3 Customer Master Special GL Transactions KUNNR / BUKRS / GJAHR / SHBKZ
Figures
LFB5 Vendor Master Dunning Data LIFNR / BUKRS / MABER
LFBK Vendor Master Bank Details LIFNR / BANKS / BANKL / BANKN
LFC1 Vendor Master Transaction Figures LIFNR / BUKRS / GJHAR
LFC3 Vendor Master Special GL Transactions LIFNR / BUKRS / GJHAR / SHBKZ
Figures
VBKPF Document Header for Document Parking AUSBK / BUKRS / BELNR / GJHAR
FBASCORE Financial Accounting General Services Basis
KNB1 Customer Master (Company Code) KUNNR / BUKRS
LFA1 Vendor Master (General Section) LIFNR
LFB1 Vendor Master (company Code Section) LIFNR / BUKRS
SKA1 G/L Account Master (Chart of Accounts) KTOPL / SAKNR
SKAT G/L Account Master (Chart of Accounts SPRAS / KTOPL / SAKNR
Description)
MAHNS Accounts Blocked by Dunning Selection KOART / BUKRS / KONKO / MABER
MHNK Dunning Data (Account Entries) LAUFD / LAUFI / KOART / BUKRS /
KUNNR / LIFNR / CPDKY / SKNRZE /
SMABER / SMAHSK / BUSAB
FI-GL-GL (FBS) General Ledger Accounting: Basic Functions- G/L Accounts
SKAS G/L Account Master (Chart of Accounts SPRAS / KTOPL / SAKNR / SCHLW
Key Word list)
SKB1 G/L Account Master (Company Code) BUKRS / SAKNR
FI-GL-GL (FBSC) General Ledger Accounting: Basic
Functions - R/3 Customizing for G/L Accounts
FIGLREP Settings for G/L Posting Reports MANDT
TSAKR Create G/L account with reference BUKRS / SAKNR
FI-GL-GL (FFE) General Ledger Accounting: Basic
Functions - Fast Data Entry
KOMU Account Assignment Templates for G/L KMNAM / KMZEI
Account items
FI-AR-AR (FBD) Accounts Receivable: Basic Functions - Customers
KNKA Customer Master Credit Management : KUNNR
Central Data
KNKK Customer Master Credit Management : KUNNR / KKBER
Control Area Data
KNKKF1 Credit Management : FI Status data LOGSYS / KUNNR / KKBER / REGUL
RFRR Accounting Data A/R and A/P RELID / SRTFD / SRTF2
Information System
FI-BL-PT Bank Accounting: Payment (BFIBL_CHECK_D) Transactions General Sections
PAYR Payment Medium File ZBUKR / HBKID / HKTID / RZAWE /
CHECT
PCEC Pre-numbered Check ZBUKR / HBKID / HKTID / STAPL
FI-BL-PT-AP(FMZA)Bank Accounting: Payment Transactions Automatic Payments
F111G Global Settings for Payment Program for MANDT
Payment Requests
FDZA Cash Management Line Items in Payment KEYNO
Requests
PAYRQ Payment Requests KEYNO
Hope this solves your concern...
Regards,
Habeeb
Assign points if helpful -
Table and field for Department ID, Department ID desc, and DIV
Hi,
We're planning to develop a "Z" report, by extending CJI3 transaction. I want to add the following fields to this new report. I just wanted to know from what tables these fields are coming from standard SAP (I believe these fields might be related to controlling, so I'm posting in this forum):
1. Department ID
2. Department ID Description
3. Division (DIV)
AmanHi Asim ,
The currency in Material Master is updated from the Company Code.
At first system checks the company code for which the Plant is assigned and picks the currecy from the company code.
You can find the same in Table T001 ; Field - WAERS
What do u mean by Product ID ? Let me know where does it exist in Material Master.
If you know the view, press F1 and then Technical Inf to get the table and Field Name.
Regards
Ramesh Ch -
Hello Expert,
In CA03 Transaction Code, there are fields like Operating ,workcenter, plant , control Key, Activity Type etc..
I just want to know where these all customization can be done want to check cost center and activity hours for one article.
I want to create one report where i have to display below fields :
material, workplace ,costcenter, activity, hourse.
i am not getting the exact table and fields.
and how can i calculate hours based on activity???means activity duration (machine hour and man hour).
Thanks in Advance.
SujeetHi,
Check the following tables:
CSKS - Cost center master
CSKT - Cost center texts
CSLA - Activity master
CSLT - Activity type texts
CSSL - Cost center / activity
Hope this helps you
Regards,
Rajnai -
Table and fields name required
Hi ,
I am abaper ,i need yr help .
i had to develop stock transfer report and needed table and fields for stock transfer
which include way bill no., transport doc. no and date ,stock transfer memo no.
kindly do held me.Sales and Distribution Tables
KONV Conditions for Transaction Data
KONP Conditions for Items
LIKP Delivery Header Data
LIPS Delivery: Item data
VBAK Sales Document: Header Data
VBAP Sales Document: Item Data
VBBE Sales Requirements: Individual Records
VBEH Schedule line history
VBEP Sales Document: Schedule Line Data
VBFA Sales Document Flow
VBLB Sales document: Release order data
VBLK SD Document: Delivery Note Header
VBPA Sales Document: Partner
VBRK Billing: Header Data
VBRP Billing: Item Data
VBUK Sales Document: Header Status and Administrative Data
VBUP Sales Document: Item Status
VEKP Handling Unit - Header Table
VEPO Packing: Handling Unit Item (Contents)
VEPVG Delivery Due Index -
FI-TV Scheme and Field control in Travel Manager
Hello!
Question:
The question is - Is it possible to somehow customize field control for TRIP selective screen by means of SPRO IMG Scheme and field control or transaction FITVFELD (i.e. hide some fields or add new fields)? Or fields can be added or deleted only by ABAP modifications and User-exits?
Prerequisite: I need to add an additional CHAR or TEXT field "Document number" in TRIP transaction which will allow a manager to manually enter a document number of a trip. Further this field has to be added in reports as well, so that manager could get all the trip details due to this new field "Document number".
What am I doing wrong?
Looking forward for your reply!
Regards,
EldarHi..
how do you define trip provision variant at first?
did copy standard variant?!
if you copy from standard variant - such as 01, or 99, then you will find schema under your copy trip variant.
hope it helps.
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