Two business area in one entry
hi..
i received a payment from customer.when i check this voucher by fb03 than in a single document it is showing Business Area 1100 and 1200 both. How the System is allowing to select two business area in one entry?
Thanks & regards
Rekha sharma
Hi
At the time of initial posting of the document itself you might have posted two line items with a two business areas. Try to post only one line item. There is no standard control to stop the posting of 2nd line item by Standard SAP.
Cheers
Srinivas
Similar Messages
-
Taking backup of workbooks and business areas in one shot
Hi friends
I need to take a backup of all the workbooks and business areas in one shot. How can I do that? Please help me in this regard.
Thanks in advance
AnkurYes! Please find it as follows:
For your reference, I have exported everything from KPM_IN and importing it to KPMIN
Export:
DIS4ADM.EXE /connect kpm_in/kpm_in@test /export c:\EUL\BA_TEST.eex /all /show_progress /log c:\eul\BA_TEST.log
Exporting the following Business Areas:
Exporting the following Folders:
Exporting the following Items:
Exporting the following Hierarchies:
Exporting the following Functions:
Exporting the following Summaries:
Exporting the following Workbooks:
Exporting the following Data:
Exporting the following Business Areas:
* Inventory*
* OPM*
* Enduse Detail Report*
* Master Repot*
* NewBusinessArea1*
* END USE REPORT*
* Pendingrpt240205*
* RECEIVING REPORT*
* Sales View Summary Report*
* Transport_Invoice_Detail*
* Truck-Transport-Destination Wise Stock Preparation Report*
* MyArea*
* Material Receiving Report*
* NND_Truck_Tracking*
* kpm_tax_reg_dtls*
* DIFF AR OM V*
* KPM_BILL_DETAIL_V*
* CUST PO INFO V*
* KPM SERVICE TAX*
* KPM_PO_PRE_PAYMENT*
* KPM_PUR_TAX_DTL*
* KPM TDS RETURN*
* Suppliers_info*
* KPM_INV_REC_RECON_V*
* KPM_CONS_OPM*
* KPM_CURR_STK_OPM*
* KPM_PUR_DELIVERY_OPM*
* KPM Stock Discrete*
* Visitors*
* KPM UNMATCHED RECEIPTS*
* KPM_STOCK_AS_ON_DAY*
* kpm_quantity_clearance_v*
* Truck-Transport-Destination Wise Stock Preparation Report 1*
* KPM_RMA_ORDERS_V*
* KPM HR*
* kpm_finish_goods_v*
* input output*
* resource update*
* kpm_outbound_freight_dtl_v*
* kpm_sales_receipt_v*
* NewBusinessArea2*
* kpm_inv_valuation_v*
* KPM_OUTBOUND_FREIGHT_DTL_NEW_V*
* VAT*
* KPM_ACCOUNT_RETREIVAL_V*
* KPM Receiving Info*
* KPM_GATE_PASS_STATUS_V*
* KPM_PPAY_CUST_V*
* visitors info*
* GatePass_Issue_Item_Rep*
* kpm_import_expenses_v*
* State_wise_salesperson_wise_quality*
* NewBusinessArea3*
* KPM_NND_SECURITY_INFO*
* KPM_Container_track_dtl_v*
* kpm_move_order_status_v*
* kpm_pend_imp_pur_ord*
* kpm_coll_open_bills_v*
* KPM_PO_STATUS_V*
* KPM_DELIVERY_DETAIL_V*
* Kapoor Automibile Invoices*
* KPM_TDS_RETURN_NEW*
* preparerwise*
* KPM_Payment_Overview_v*
* KPM Work Order Status*
* KPM Consumption (For discrete)*
* KPM_PURCHASING_REPORT*
* KPM_STATE_SALESPERSON_QUAL_V*
* Kpm_hr_resume_data*
* kpm_internal_audit_v*
* KPM Asset Tracking*
* KPM Receipts Register*
* KPM Employee Details*
* KPM Purchase Requisitions*
* KPM TDS DETAILS V*
* KPM_BUYER_WISE_INDENT_V*
* KPM_HR_ADVANCE_DTLS_V*
* KPM NND MIS V*
* KPM NND MIS CON V*
* kpm_fa_cost_adj_v*
* KPM_BUDGET_ASSET_PO_V*
* KPM_GATE_ENTRY_FOR_LOCAL*
* kpm_coll_wise_detail_v*
* KPM_NONCENVATABLE_TAXES_REPORT*
* KPM_UNACCOUNTED_RECEIPTS_V*
* KPM AVAILABILITY LIST V*
* KPM NON ESI MEMBERS V*
* KPM_READY_TO_MOVE_V*
* KPM_FGW_ITEMS_V*
* KPM_TDS_SUMMARY_V*
* KPM ESI MEMBERS LIST*
* KPM_VENDOR_DEVELOPMENT_V*
* KPM_ACCOUNTS_RETRIEVAL_JE_V*
* KPM_SUPPL_INVOICES_V*
* KPM_NND_HAULAGE_DTLS_V*
* kpm_imp_pending_orders_v*
* Cash_Receipts_breakup*
Exporting the following Folders:
* ABMBV_ACT_ACCT_DATA_VAR_V*
* Inventory Stock1*
* Kpm Req Status1*
* Kpm Req Status2*
* Kpm Req Status*
* Requisition Status*
* Inventory Stock*
* Vbatch*
* Consumption Report 1*
* Item Wise Consumption Report*
* Abmbv Act Acct Data Variance*
* BANK NAME*
* NND TRACKING REPORT*
* Master report -material yet to be shipped*
* Enduse Detail*
* Enduse Detail Report(Ver.1)*
* FCL Creation Banks*
* FCL CREATION REPORT*
* FCL Maturity Report*
* End Use Report*
* Xxkpm Items Categories V*
* Xxkpm Lot Details V*
* COUNTRY*
* Truck-Transport-Destination Wise Stock Preparation Report*
* Main_Query*
* CustomFolder 2*
* Receiving Report*
* CCUSTOMER_NAME*
* GSM*
* LINE_STATUS*
* ORDERTYPE*
* QUALITY*
* REEL_SHEET*
* SALESPERSON*
* Sales View Summary Report*
* WAREHOUSE*
* Inv Ent By Usr V*
* NewFolder1*
* Material Receiving Report*
* Material Receiving Report Ver.1*
* NND_Truck_Tracking*
* Kpmtax Reg Dtls V*
* Diff Ar Om V*
* Kpm Bill Detail V*
* Cust Po Info V*
* Kpm Service Tax V*
* Kpm Po Pre Payment*
* Kpm Pur Tax Dtl V*
* Kpm Tds Return V*
* Kpm Pur Tax Sum V*
* Suppliers Info V*
* Salesperson_Wise_Quality*
* Customerwise_Quality*
* kpm_des_item*
* kpm_item_total*
* Kpm Inv Rec Acct Recon V*
* Kpm Cons Opm V*
* Kpm Curr Stk Opm V*
* Kpm Pur Del Opm*
* Kpm Stk Discrete V*
* Visitors*
* Kpm Unmatched Receipts V*
* kpm_cons_report_opm*
* Kpm Stock As On Day*
* Kpm Quantity Clearance V*
* Sales View Summary Report With Duties*
* Truck-Transport-Destination Wise Stock Preparation Report 1*
* Kpm Rma Orders V*
* SAL_BRKUP*
* Statewise_quality*
* ADVANCES*
* ADVANCES_DETAIL*
* Kpm Finish Goods V*
* KPM_NEW_APPOINTMENTS*
* kpm_hr_itax_deduc*
* Sales View Sumary Report (Annexure-1)*
* ABSENTEE_RECORD*
* Kpm Input Output V*
* Kpm Resource Update V*
* Destination Wise Sales*
* loan_tour_advances*
* WORK INFO*
* Customer Additional Info*
* Resumes*
* customer_wise_quality*
* ITEM Recv Update*
* Kpm Outbound Freight Dtl V*
* Kpm Sales Receipt V*
* Kpm Inv Valuation V*
* Truck-Transport-Destination Wise Stock Preparation Report (New)*
* Cust Po Info V New*
* Destination Wise Sales (New)*
* kpm_des_item (New)*
* Kpm Outbound Freight Dtl New V*
* Kpm Vat V*
* Kpm Account Retreival V*
* Kpm Recev Info V*
* Kpm Gate Pass Status V*
* Kpm Ppay Cus V*
* Kpm Hr Visitors Info*
* GatePass_Issue_Item_Rep*
* salesperson_wise_quality_drill*
* Kpm Import Expenses V*
* State_wise_salesperson_wise_quality*
* Kpm Nnd Security Info*
* Kpm Container Track Dtl V*
* KPM_CONT_TRACK_SUMM*
* kpm_move_order_status_v*
* kpm_pend_imp_pur_ord*
* Kpm Coll Open Bills V*
* Kpm Po Status V*
* Kpm Delivery Detail V*
* Saleperson_state*
* kpm_coll_quality_open_bills*
* Kapoor Automobile Invoices*
* KPM_TDS_RETURN_NEW*
* preparer*
* Kpm Payment Overview V*
* Work Order Status*
* KPM Consumption*
* kpm_purchasing*
* Kpm State Salesperson Qual V*
* kpm_state_salesperson_qual*
* Kpm_hr_resume*
* Kpm Internal Audit V*
* KPM Po Status(New)*
* Kpm Asset Tracking V*
* Receipts Register*
* KPM Employee Details*
* Kpm Sal Adv View*
* CustomFolder*
* Kpm Tds Details V*
* Kpm buyer wise indent v*
* Kpm Hr Advance Dtls V*
* Kpm Nnd Mis V*
* Kpm Nnd Mis Totals V*
* Kpm Nnd Mis Con V*
* Kpm Fa Cost Adj V*
* Kpm Budget Asset Po V*
* KPM Gate Entry For Local*
* Kpm Coll Wise Detail V*
* KPM_NONCENVATABLE_TAXES_REPORT*
* Kpm Unaccounted Receipts V*
* Kpm Availability List V*
* Kpm Non Esi Members V*
* Kpm Ready To Move V*
* Kpm Fgw Items V*
* Kpm Tds Summary*
* KPM ESI MEMBERS LIST*
* Kpm Vendor Development V*
* Kpm Accounts Retrieval Je V*
* Kpm Suppl Invoices V*
* Kpm Nnd Haulage Dtls V*
* Kpm Imp Pending Orders V*
* Cash_Receipts_breakup*
Exporting the following Items:
* Status 2*
* Status 3*
* Batch No*
* itemdesc_consumption*
* NewItemClass2*
* Organisation*
* Plant Code*
* Bank Name*
* FCL CREATION BANKS*
* NewItemClass1*
* NewItemClass5*
* COUNTRY*
* Customer_Name*
* CUST_NAME*
* GSM1*
* GSM*
* LINE_STATUS*
* SALESPERSONS*
* ORDERTYPE*
* QUALITY*
* REEL_SHEET*
* WAREHOUSE*
* DOC TYPE*
* WHSE CODE*
* REASON CODE*
* Quality 1*
* Customer*
* SalesPerson 1*
* Customer 1*
* Salesperson*
* Quality 2*
* Item*
* WHSE_CODE*
* ITEM_DESC*
* CATEGORY*
* WHSE_CODE 1*
* ITEM_DESC 1*
* CATEGORY 1*
* Subinventory*
* Category*
* ItemDesc*
* CustomerName*
* Item_Description*
* Category 1*
* Warehouse*
* Category 2*
* EMPCODE*
* PERIOD*
* DEPARTMENT*
* DEPARTMENT 1*
* PERIOD 1*
* Period*
* Destination*
* EMPCODE 1*
* Customer Number*
* Depatrment*
* Qualification*
* bill_to*
* ship_to*
* quality*
* sales_person*
* org_code*
* PO_No*
* Consignee*
* whse_code*
* category*
* period*
* Destination_new*
* ORG_CODE*
* Held By*
* Req No*
* Req Type*
* Department*
* NUMBER*
* Party*
* Type*
* status*
* Preparer*
* Requester*
* Preparer 1*
* Requester 1*
* line_status*
* Collector*
* Customer 2*
* Type 1*
* preparer*
* supplier*
* estimate held by*
* estimate status*
* preparer*
* requester*
* requisition no*
* req no*
* req status*
* Service order no*
* Items*
* Org*
* vendors*
* Preparer 2*
* Requestor*
* Buyer*
* Shipper*
* NewItemClass3*
* CHARGE_NONCHARGE*
* Contractor*
* ProductType*
* Category 3*
* Organization LOV*
* Organization Code*
Exporting the following Hierarchies:
* Xxkpm Lot Details V: Lot Created: Default Date Hierarchy*
* salesperson_drill_detail*
* state_wise_salesperson_wise_quality_hierarchy*
* saleperson_state*
* data hierarchy*
* kpm_item_hierarchy*
* state_salesperson_qual_hier*
Exporting the following Functions:
* Default Date Hierarchy*
* Default Date Hierarchy 1*
* Default Date Hierarchy 3*
* Entry Date Hier*
Exporting the following Summaries:
* XXKPM_ENDUSE_DETAIL*
* FIND_CESS*
* FIND_EDU_CESS*
* FIND_EXCISE*
* FIND_FREIGHT*
* FIND_FREIGHT_TEST*
* FIND_INSURANCE*
* NND_RECEIVING_REPORT*
* ON_HND_QTY*
* XXBoard_Amt*
* FIND_RATE*
* KPM_OPEN_BAL_DISC*
Exporting the following Workbooks:
Exporting the following :
* INVENTORY*
* Requisition Status Report*
* Batch Wise Consumption report*
* Item Wise Consumption report*
* Consolidated Consumption Report*
* Enduse-report*
* end-use_report-in-detail*
* Material Yet To Be Shipped*
* NND Tracking Report*
* RECEIVING REPORT FOR IMPORT*
* Sales View Summary Report*
* Truck Transporter Destination Wise Report*
* Truck-Transport-Destination Wise Stock Preparation Report*
* Party wise Quality wise list of pending orders*
* INVOICES ENTERED BY USERS*
* Fax Message Report*
* MATERIAL RECEIVING REPORT*
* Truck Transporter Destination Wise Report Complete*
* Shipper wise container wise report*
* TAX DETAILS*
* Diference in AR and OM*
* KPM Bill Detail Report*
* Customer PO Info Report*
* KPM Service Tax Report*
* KPM PO PREPAYMENT REPORT*
* KPM Purchasing Tax Details Report*
* KPM Consolidated Tax Detail Report(Invoice Wise)*
* Suppliers Having Incomplete Information*
* Customer Wise Quality Report*
* Sales-Person Wise Quality Report*
* KPM Item Despatched Report*
* KPM Item-Wise Total Report*
* KPM Inventory Receiving Account Reconcilation Report*
* KPM Consumption Report For OPM Items*
* KPM Current Stock Report For OPM Items*
* KPM Purchase Delivery Report (OPM)*
* KPM Stock Report(Discrete)*
* KPM Visitors Report*
* KPM Unmatched Receipts*
* KPM Warehouse Wise Consumtion Report*
* KPM Stock Report As On Day (Discrete)*
* KPM Quantity Clearance Report*
* Sales View Summary Report With Duties*
* KPM RMA Orders Info*
* KPM Salary BreakUP Report*
* KPM State Wise Quality Report*
* KPM Advances Report*
* KPM Advance Details*
* KPM Finish Goods Report*
* KPM HR New Appointments*
* KPM HR Tax Deduction Report*
* Sales View Summary Report (Annexure-1)*
* KPM HR Absentee Record*
* KPM Input Output Report*
* KPM Resourec Updation Report*
* KPM Destination Wise Sales Report*
* KPM Outstanding Advances Report*
* KPM HR Work Information*
* KPM Customers Additional Information*
* KPM HR Resumes Report*
* Customer Wise Quality Report with nature of sale*
* Sales-Person Wise Quality Report (Cross-Tab)*
* KPM Item Receiving Update Report(Detail)*
* KPM Item Receiving Update Report (Summary)*
* KPM Outbound Freight Detail*
* KPM Sales Receipt Analysis Report*
* Fax Message Report (New)*
* Truck-Transport-Destination Wise Stock Preparation Report (New)*
* Customer PO Info Report (New)*
* KPM Destination Wise Sales Report (New)*
* KPM Item Despatched Report (New)*
* KPM Outbound Freight Detail (New)*
* KPM VAT Report*
* KPM Inventory Valuation Report(OPM)*
* KPM Receiving Info (Freight_Shortage)*
* KPM Accounts Retreival Report*
* KPM Gate Pass Status Report*
* KPM Prepayment For Customs(NND)*
* KPM Gate Pass Issue Item Report*
* KPM VAT Report2*
* Sales-Person Wise Quality Report (Drill Detail)*
* KPM Import Expenses Report*
* KPM State Wise Salesperson Wise Quality Report (Drill Detail)*
* KPM NND Security Info Report*
* KPM Container Tracking Details Report*
* KPM Move Order Status Report*
* KPM Pending Imported Purchase Orders*
* KPM Collector Wise Open Bills*
* KPM Purchase Order Status Report*
* KPM Delivery Detail Report*
* KPM Salesperson Wise State Wise Quality Report (Drill Detail)*
* KPM Collector Wise Quality Wise Open Bills*
* Kapoor Automobile Invoices*
* KPM TDS Return Report (New)*
* KPM PO Preparer Wise Report*
* KPM Payment Overview Report*
* KPM Work Order Status Report*
* KPM Consumption Report (Drill Down)*
* Kpm Purchasing Report*
* State Wise Saleperson Wise Average Report (Drill Detail)*
* State Wise Saleperson Wise Quality Report (Drill Detail)*
* State Wise Saleperson Wise Percentage Report (Drill Detail)*
* KPM Outbound Freight Detail (New - Full Detail)*
* KPM HR Resume Status Report*
* KPM Internal Audit Report*
* KPM Lead pendency report*
* KPM Asset Tracking Report*
* KPM Receipts Register*
* KPM Employee Details Report*
* KPM_ADV_FILE_REPORT*
* KPM_HR_SAL_REPORT*
* KPM Purchase Requisition*
* KPM Buyer Wise Indent Report*
* KPM TDS Details Report (New)*
* KPM TDS Return Report*
* KPM HR Advance Details Report*
* KPM Import Costing Sheet*
* KPM FA Cost Adjustment Report*
* KPM Budget/Asset Wise Purchase Order Report*
* KPM Gate Entry For Local*
* KPM Collector Wise Details*
* KPM_NONCENVATABLE_TAXES_REPORT*
* KPM Unaccounted Receipts Report*
* KPM Bill Detail Report New*
* KPM Availability List report*
* KPM Non ESI Members Report*
* KPM Ready to Move Report*
* KPM Items List for FGW*
* KPM TDS Summary Report*
* KPM ESI Members Report*
* KPM Vendor Development Details*
* KPM Accounts Retrieval Report (Journal Entries)*
* KPM Grade Wise Dispatch Report*
* KPM NND Haulage Details*
* KPM Imported Orders Pending for Receiving*
* KPM Cash Receipts Breakup Report*
* KPMHRATT2/5/2009 1:31:02 PM*
Import:
DIS4ADM.EXE /connect kpmin/kpmin@dvp /import C:\EUL\BA_TEST.eex /show_progress /log c:\eul\imp_all_dvp.log /keep_format_properties /preserve_workbook_owner /auto_refresh /identifier
An imported Date Hierarchy had identifier 'EUL_DEFAULT_DATE_HIERARCHY' renamed to 'EUL_DEFAULT_DATE_HIERARCHY1'
An imported Date Hierarchy had identifier 'EUL_DEFAULT_DATE_HIERARCHY1' renamed to 'EUL_DEFAULT_DATE_HIERARCHY11'
A folder named 'Enduse Detail' was created or modified during the import but is not in a business area
Import completed successfully.
Abmbv Act Acct Data Variance: Abmbv Act Acct Data Variance: Definition Unavailable
ABMBV_ACT_ACCT_DATA_VAR_V: ABMBV_ACT_ACCT_DATA_VAR_V: Definition Unavailable
Cust Po Info V: Cust Po Info V: Definition Unavailable
Cust Po Info V New: Cust Po Info V New: Definition Unavailable
Diff Ar Om V: Diff Ar Om V: Definition Unavailable
Inv Ent By Usr V: Inv Ent By Usr V: Definition Unavailable
Kpmtax Reg Dtls V: Kpmtax Reg Dtls V: Definition Unavailable
Kpm Accounts Retrieval Je V: Kpm Accounts Retrieval Je V: Definition Unavailable
Kpm Account Retreival V: Kpm Account Retreival V: Definition Unavailable
Kpm Asset Tracking V: Kpm Asset Tracking V: Definition Unavailable
Kpm Availability List V: Kpm Availability List V: Definition Unavailable
Kpm Bill Detail V: Kpm Bill Detail V: Definition Unavailable
Kpm Budget Asset Po V: Kpm Budget Asset Po V: Definition Unavailable
Kpm buyer wise indent v: Kpm buyer wise indent v: Definition Unavailable
Kpm Coll Open Bills V: Kpm Coll Open Bills V: Definition Unavailable
Kpm Coll Wise Detail V: Kpm Coll Wise Detail V: Definition Unavailable
Kpm Cons Opm V: Kpm Cons Opm V: Definition Unavailable
Kpm Container Track Dtl V: Kpm Container Track Dtl V: Definition Unavailable
Kpm Curr Stk Opm V: Kpm Curr Stk Opm V: Definition Unavailable
Kpm Delivery Detail V: Kpm Delivery Detail V: Definition Unavailable
Kpm Fa Cost Adj V: Kpm Fa Cost Adj V: Definition Unavailable
Kpm Fgw Items V: Kpm Fgw Items V: Definition Unavailable
Kpm Finish Goods V: Kpm Finish Goods V: Definition Unavailable
Kpm Gate Pass Status V: Kpm Gate Pass Status V: Definition Unavailable
Kpm Hr Advance Dtls V: Kpm Hr Advance Dtls V: Definition Unavailable
Kpm Hr Visitors Info: Kpm Hr Visitors Info: Definition Unavailable
Kpm Import Expenses V: Kpm Import Expenses V: Definition Unavailable
Kpm Imp Pending Orders V: Kpm Imp Pending Orders V: Definition Unavailable
Kpm Input Output V: Kpm Input Output V: Definition Unavailable
Kpm Internal Audit V: Kpm Internal Audit V: Definition Unavailable
Kpm Inv Rec Acct Recon V: Kpm Inv Rec Acct Recon V: Definition Unavailable
Kpm Inv Valuation V: Kpm Inv Valuation V: Definition Unavailable
Kpm Nnd Haulage Dtls V: Kpm Nnd Haulage Dtls V: Definition Unavailable
Kpm Nnd Mis Con V: Kpm Nnd Mis Con V: Definition Unavailable
Kpm Nnd Mis Totals V: Kpm Nnd Mis Totals V: Definition Unavailable
Kpm Nnd Mis V: Kpm Nnd Mis V: Definition Unavailable
Kpm Nnd Security Info: Kpm Nnd Security Info: Definition Unavailable
Kpm Non Esi Members V: Kpm Non Esi Members V: Definition Unavailable
Kpm Outbound Freight Dtl New V: Kpm Outbound Freight Dtl New V: Definition Unavailable
Kpm Outbound Freight Dtl V: Kpm Outbound Freight Dtl V: Definition Unavailable
Kpm Payment Overview V: Kpm Payment Overview V: Definition Unavailable
Kpm Po Pre Payment: Kpm Po Pre Payment: Definition Unavailable
Kpm Po Status V: Kpm Po Status V: Definition Unavailable
Kpm Ppay Cus V: Kpm Ppay Cus V: Definition Unavailable
Kpm Pur Del Opm: Kpm Pur Del Opm: Definition Unavailable
Kpm Pur Tax Dtl V: Kpm Pur Tax Dtl V: Definition Unavailable
Kpm Pur Tax Sum V: Kpm Pur Tax Sum V: Definition Unavailable
Kpm Quantity Clearance V: Kpm Quantity Clearance V: Definition Unavailable
Kpm Ready To Move V: Kpm Ready To Move V: Definition Unavailable
Kpm Recev Info V: Kpm Recev Info V: Definition Unavailable
Kpm Req Status1: Kpm Req Status1: Definition Unavailable
Kpm Req Status2: Kpm Req Status2: Definition Unavailable
Kpm Req Status: Kpm Req Status: Definition Unavailable
Kpm Resource Update V: Kpm Resource Update V: Definition Unavailable
Kpm Rma Orders V: Kpm Rma Orders V: Definition Unavailable
Kpm Sales Receipt V: Kpm Sales Receipt V: Definition Unavailable
Kpm Sal Adv View: Kpm Sal Adv View: Definition Unavailable
Kpm Service Tax V: Kpm Service Tax V: Definition Unavailable
Kpm State Salesperson Qual V: Kpm State Salesperson Qual V: Definition Unavailable
Kpm Stk Discrete V: Kpm Stk Discrete V: Definition Unavailable
Kpm Stock As On Day: Kpm Stock As On Day: Definition Unavailable
Kpm Suppl Invoices V: Kpm Suppl Invoices V: Definition Unavailable
Kpm Tds Details V: Kpm Tds Details V: Definition Unavailable
Kpm Tds Return V: Kpm Tds Return V: Definition Unavailable
Kpm Tds Summary: Kpm Tds Summary: Definition Unavailable
Kpm Unaccounted Receipts V: Kpm Unaccounted Receipts V: Definition Unavailable
Kpm Unmatched Receipts V: Kpm Unmatched Receipts V: Definition Unavailable
Kpm Vat V: Kpm Vat V: Definition Unavailable
Kpm Vendor Development V: Kpm Vendor Development V: Definition Unavailable
Suppliers Info V: Suppliers Info V: Definition Unavailable
Vbatch: Vbatch: Definition Unavailable
Visitors: Visitors: Definition Unavailable
Xxkpm Items Categories V: Xxkpm Items Categories V: Definition Unavailable
Xxkpm Lot Details V: Xxkpm Lot Details V: Definition Unavailable
ABSENTEE_RECORD: ABSENTEE_RECORD: Definition Unavailable
ADVANCES: ADVANCES: Definition Unavailable
ADVANCES_DETAIL: ADVANCES_DETAIL: Definition Unavailable
BANK NAME: BANK NAME: Definition Unavailable
Cash_Receipts_breakup: Cash_Receipts_breakup: Definition Unavailable
Consumption Report 1: Consumption Report 1: Definition Unavailable
COUNTRY: COUNTRY: Definition Unavailable
Customerwise_Quality: Customerwise_Quality: Definition Unavailable
Customer Additional Info: Customer Additional Info: Definition Unavailable
customer_wise_quality: customer_wise_quality: Definition Unavailable
NND TRACKING REPORT: NND TRACKING REPORT: Definition Unavailable
Salesperson_Wise_Quality: Salesperson_Wise_Quality: Definition Unavailable
Item Wise Consumption Report: Item Wise Consumption Report: Definition Unavailable
KPM Consumption : KPM Consumption : Definition Unavailable
kpm_purchasing: kpm_purchasing: Definition Unavailable
KPM Po Status(New): KPM Po Status(New): Definition Unavailable
Receipts Register: Receipts Register: Definition Unavailable
KPM Employee Details: KPM Employee Details: Definition Unavailable
CustomFolder: CustomFolder: Definition Unavailable
Truck-Transport-Destination Wise Stock Preparation Report: Truck-Transport-Destination Wise Stock Preparation Report: Definition Unavailable
Truck-Transport-Destination Wise Stock Preparation Report 1: Truck-Transport-Destination Wise Stock Preparation Report 1: Definition Unavailable
preparer: preparer: Definition Unavailable
KPM Gate Entry For Local: KPM Gate Entry For Local: Definition Unavailable
KPM_NONCENVATABLE_TAXES_REPORT: KPM_NONCENVATABLE_TAXES_REPORT: Definition Unavailable
KPM ESI MEMBERS LIST: KPM ESI MEMBERS LIST: Definition Unavailable
Main_Query: Main_Query: Definition Unavailable
NND_Truck_Tracking: NND_Truck_Tracking: Definition Unavailable
CustomFolder 2: CustomFolder 2: Definition Unavailable
Material Receiving Report: Material Receiving Report: Definition Unavailable
Receiving Report: Receiving Report: Definition Unavailable
End Use Report: End Use Report: Definition Unavailable
Master report -material yet to be shipped: Master report -material yet to be shipped: Definition Unavailable
CCUSTOMER_NAME: CCUSTOMER_NAME: Definition Unavailable
Destination Wise Sales: Destination Wise Sales: Definition Unavailable
Destination Wise Sales (New): Destination Wise Sales (New): Definition Unavailable
Enduse Detail: Enduse Detail: Definition Unavailable
Enduse Detail Report(Ver.1): Enduse Detail Report(Ver.1): Definition Unavailable
FCL Creation Banks: FCL Creation Banks: Definition Unavailable
FCL CREATION REPORT: FCL CREATION REPORT: Definition Unavailable
FCL Maturity Report: FCL Maturity Report: Definition Unavailable
GatePass_Issue_Item_Rep: GatePass_Issue_Item_Rep: Definition Unavailable
GSM: GSM: Definition Unavailable
Inventory Stock1: Inventory Stock1: Definition Unavailable
Inventory Stock: Inventory Stock: Definition Unavailable
ITEM Recv Update: ITEM Recv Update: Definition Unavailable
Kapoor Automobile Invoices: Kapoor Automobile Invoices: Definition Unavailable
kpm_coll_quality_open_bills: kpm_coll_quality_open_bills: Definition Unavailable
kpm_cons_report_opm: kpm_cons_report_opm: Definition Unavailable
KPM_CONT_TRACK_SUMM: KPM_CONT_TRACK_SUMM: Definition Unavailable
kpm_des_item: kpm_des_item: Definition Unavailable
kpm_des_item (New): kpm_des_item (New): Definition Unavailable
kpm_hr_itax_deduc: kpm_hr_itax_deduc: Definition Unavailable
Kpm_hr_resume: Kpm_hr_resume: Definition Unavailable
kpm_item_total: kpm_item_total: Definition Unavailable
kpm_move_order_status_v: kpm_move_order_status_v: Definition Unavailable
KPM_NEW_APPOINTMENTS: KPM_NEW_APPOINTMENTS: Definition Unavailable
kpm_pend_imp_pur_ord: kpm_pend_imp_pur_ord: Definition Unavailable
kpm_state_salesperson_qual: kpm_state_salesperson_qual: Definition Unavailable
KPM_TDS_RETURN_NEW: KPM_TDS_RETURN_NEW: Definition Unavailable
LINE_STATUS: LINE_STATUS: Definition Unavailable
loan_tour_advances: loan_tour_advances: Definition Unavailable
Material Receiving Report Ver.1: Material Receiving Report Ver.1: Definition Unavailable
ORDERTYPE: ORDERTYPE: Definition Unavailable
QUALITY: QUALITY: Definition Unavailable
REEL_SHEET: REEL_SHEET: Definition Unavailable
Requisition Status: Requisition Status: Definition Unavailable
Resumes: Resumes: Definition Unavailable
Saleperson_state: Saleperson_state: Definition Unavailable
SALESPERSON: SALESPERSON: Definition Unavailable
salesperson_wise_quality_drill: salesperson_wise_quality_drill: Definition Unavailable
Sales View Sumary Report (Annexure-1): Sales View Sumary Report (Annexure-1): Definition Unavailable
Sales View Summary Report: Sales View Summary Report: Definition Unavailable
Sales View Summary Report With Duties: Sales View Summary Report With Duties: Definition Unavailable
SAL_BRKUP: SAL_BRKUP: Definition Unavailable
Statewise_quality: Statewise_quality: Definition Unavailable
State_wise_salesperson_wise_quality: State_wise_salesperson_wise_quality: Definition Unavailable
Truck-Transport-Destination Wise Stock Preparation Report (New): Truck-Transport-Destination Wise Stock Preparation Report (New): Definition Unavailable
WAREHOUSE: WAREHOUSE: Definition Unavailable
WORK INFO: WORK INFO: Definition Unavailable
Work Order Status : Work Order Status : Definition Unavailable2/5/2009 1:39:38 PM -
Cross Business area Transactions bettween two Business area in Classic GL
Dear experts,
we are not in new GL and we are still in Classic G/L and we have two business areas where we are doing cross business transactions and clinet want tallied trail balance of each month.
How can we achive the above situtaion. I know new G/L where systeom will take care for tallied trail balance by using Zero balance clearing account.
Thanks Reagards,
BramhaiahPlease activate Business area financial statements in OB65.
Indicator: Business area financial statements required?
Indicator that a balance sheet and/or a P&L is to be created per
business area for internal purposes.
Use
If the indicator is set, then the "Business area" field is always ready
for input, regardless of the field control of the posting keys and of
the accounts when you enter documents. This indicator results in
required entries in the Controlling (CO), Materials Management (MM), and
Sales and Distribution (SD) components.
Rgds
Murali. N -
Sharing report between two business areas?
Hi,
We have two business areas : Sales and Sales with Gross Profits.
Sales with Gross Profits has some columns that Sales business area doesn't have.
Is it possible to share a report between those two business areas if the columns used in the report are the same, without any possible issue?
ThanksHi,
Is it possible to share a report between those two business areas if the columns used in the report are the same, without any possible issue?No, a workbook using items from one or more folders. The folders used by the workbook cannot be easily changed. You could of course have the folders used by the workbook in both business areas, but then you would have 2 versions of the folder in the business area, one with the extra columns and one without.
Rod West -
Hi all
I have one G/R. In one G/R i have multiple line items. How to enter multiple business area. In Accouting document it is updating only one business area againist one Gr/Ir accounting. Remaining line items business area is empty
Please help. It is very urgent
Thanks
KrishnaHi Prasad
Thanks for responding my query.
The query is . In one GR multiple line items are there with diffrent business areas.
while creating Accouting document in vendor line item it is not updating business area.. How we have to eliminate this problem.
i will give exp:
One item: The entry is like following
Itm PK BusA Acct no. Description Tx Amount in INR
001 31 2LSV 10143 ARUNA ALLOY STEELS PVT LTD M3 108,099.00-
002 86 2LSV 30998 GR/IR CLEARING - MMN M3 88,425.00
003 83 2LSV 64718 PRICE DIFF- RM (PRD) M3 983.00
004 40 2LSV 60978 PUR A/c-Dom-Direct M3 983.00
005 50 2LSV 60979 PUR A/C OFF SET- Dom M3 983.00-
006 40 27009 MODVAT CLEARING M3 14,147.26
007 40 27009 MODVAT CLEARING M3 282.95
008 40 27009 MODVAT CLEARING M3 141.47
009 40 31019 VAT ITC - REVENUE M3 4,119.69
010 50 31019 VAT ITC - REVENUE M3 0.01-
011 50 2LSV 64255 CASH DISC / PMT DIFF M3 0.36-
in above entry buseness area updated in vender
Multiple line items:
001 31 10143 ARUNA ALLOY STEELS PVT LTD M3 57,060.00-
002 86 2SVG 30981 GR/IR IND ITEMS- MMN M3 4,800.00
003 81 2SVG 60008 SUBCONT CHGS OTH-MMN M3 49.33
004 86 2LSV 30998 GR/IR CLEARING - MMN M3 41,906.90
005 89 2LSV 22001 RAW MATL STK LO-MMN M3 430.67
006 40 2LSV 60978 PUR A/c-Dom-Direct M3 430.67
007 50 2LSV 60979 PUR A/C OFF SET- Dom M3 430.67-
008 40 27009 MODVAT CLEARING M3 768.00
009 40 27009 MODVAT CLEARING M3 15.36
010 40 27009 MODVAT CLEARING M3 7.68
011 40 31019 VAT ITC - REVENUE M3 223.65
012 40 27009 MODVAT CLEARING M3 6,705.10
013 40 27009 MODVAT CLEARING M3 134.10
014 40 27009 MODVAT CLEARING M3 67.05
015 40 31019 VAT ITC - REVENUE M3 1,952.52
016 50 31019 VAT ITC - REVENUE M3 0.01-
017 50 64255 CASH DISC / PMT DIFF M3 0.35-
In above entry no business area updated in vender line item
But i want business area updation in vender line item if there are multiple line items.
How can we do this?
Please guide me
Thanks
Krishna -
Two sales areas in one shop??
Hi experts!!
I am trying to configure B2B application..
My questions are the following:
Since product catalog is assigned to one sales area, and one product catalog is assigned to one shop and one shop is assigned to one customer configuration.
How can we have two sales areas in one B2B application????
Thank you in advance!!!!Hi
1. Sales Area is controlled by the CATALOG VARIANT within the product catalog.
2. Create one more catalog variant within the same product catalog and assign the other sales area to that catalog variant.
3. While logging you will get the catalog variant selection screen from their you can select the required catalog variant (applicable for the respective sales area) and enter the webshop
Hope this will be helpful.
Regards -
Business Area wise Vendor Entry
Hi,
When a PO is raised and an IV created, we get the following FI entry
Business Area Dr Cr
Expense A/C Dr 1 100
Expense A/C Dr 2 100
Expense A/C Dr 3 100
To Vendor A/C 300
Now, we have requirement that all the postings to the Vendor A/C should be traced w r t to Business Area. Eg
Business Area Dr Cr
Expense A/C Dr 1 100
Expense A/C Dr 2 100
Expense A/C Dr 3 100
To Vendor A/C 1 100
To Vendor A/C 2 100
To Vendor A/C 3 100
I would be glad if somebody can let me know the configuration we need to do in order to make this possible.
Waiting for your reply at the earliest.
Thanks & Regards,
GauravHi,
Vendor balances : Go to T.code S_ALR_87012093 Or S_ALR_87012079 - Vendor Business and click on Dynamic selections(Shift+F4) double click on Business Area and put on the business area and save then Execute (F8)
Customer Balances : Go to T.code S_ALR_87012186 Or S_ALR_87012169 - Customer Sales and click on Dynamic selections(Shift+F4) double click on Business Area and put on the business area and save then Execute (F8
Thanks,
Raviteja
Edited by: Ravi Teja.T on Jan 4, 2012 12:29 PM -
Reports for two costing Area With one operating concern
Hi,
What are the reports I can get if I am having two different costing area for my comapnies with same operating concern
Thanks in advance for your input
CHEERSThanks Sreekanth ,
I want to what are the reports that will be generated. And what cannot be done if we have two controlling area instead of one.
CHEERS -
Change cost center business area in one year
HI,
Our user create a cost center and wrongly key in a business area value. The cost center valid from Jan 13 2010 to Dec 31 9999.
And already some transaction data post to this cost center.
Now i want to delete the business area in the cost center master data, SAP will give error message.
Do you know any way to delete the business area for the cost center?
Or if i debug to change the business area (i do it successfully in quality system), whether it will have some other problem?
Thanks.Hi David,
You are right. It looks like you can only change business area on a cost center master for the period starting from next fiscal year.
You can just create a new cost center with correct business area and use transaction KB61 to transfer the postings from the old cost center to the new one. If you have NewGL turned on for business area reporting, GL-CO reconsiliation is automatic. Otherwise, you will need to run KALC after executing KB61 or at the end of month. Of course, after all is done, you would block the old cost center from any transaction and delete the cost center for the period starting from next fiscal year.
Regards,
Ming -
Trying to create two login areas for one site
I'm currently creating two different login areas for the site. One for my client to update content and one as a media/press area for downloads. Both areas work fine but it seems I can only do one login area because even if I use a different Connection script, one login area overtakes the other and you
're stuck with one setup instead of two. How can I work this so each area has its' own separate login area?Instead of having two login forms, have one login form and utilize the user level controls. You will need to go to the login settings page and set/use the Level field on the database tab and then configure the user levels on the user levels tab.
You simply route users to different subdirectories and then secure the files for those two user directories using different user level permissions.
This removes the needs to maintain multiple connection files.
That said, do your two different login forms have different names? Different ids? Different targets/actions? -
Two Repetitive areas in one PLD
Hi Experts
I created a custom query and based on that i created a query print layout. Now in the PLD i have only one repetitive area, but i want to group this report first based on the account code and then based on the BP code and display the sub totals seperately.
Can you all help me to complete this.
Thanks & Regards
Kanishka WickramaHi kanishka wickrama,
Sorry Kanish, i thought normal PLD.
Yes, you con not add the NEW Repetetive Area on QPLD. it is not possible on QPLD.
so, try to assign the Sort by option.
Note: All SELECT statement fields will be Stored and Display in Repetetive Area1. and
Parameter Fields are in Repetetive Area0 so you can Try to Copy & Paste the Field_ID's to Repetetive Area Header (or) Repetetive Area Footer.
for example.
Try this,
->> Open the QPLD and Goto Field index Window, then
->> Select the Repetetive Area Header & Repetetive Area Footer increase the Height on Properties Window.
->> Create the Formula fields in Repetetive Area Header & Repetetive Area Footer.
->> Which Field you want to print in header or footer. Drag the Field ID(in Repetetive Area) Copy & Paste to Formula Field.
->> Select the Repetetive Area 1 on Field Index Window.
->> Goto the Print Layout Designer on Tool bar.
->> Click Repetetive Area. -> Sort...
->> Open the Sort Widnow and Select the Requrie fields by sort.
ELSE Try this,
->> Click the Repetetive Area Footer 1.
->> then, Right Click in Repetetive Area Footer 1.
->> Choose the GROUP -> 1. then,
->> Create the Formula Fields in Repetetive Area Footer 1 and copy paste field ID's from Repetetive Area 1.
->> Select the Repetetive Area 1 on Field Index Window.
->> Goto the Print Layout Designer on Tool bar.
->> Click Repetetive Area. -> Sort...
->> Open the Sort Widnow and Select the Requrie fields by sort.
Ex.
->> Select Field Name, Sort by, Order, Summary, New Page.
1st you can Select Field Name (Sort by) -> Account Code, and
2nd Select the Field Name (Sort by) -> BP Code. and both are
Sort Type - Alpha.
Order -> Descending (or) Ascending.
Summary -> Select the Tick Mark.
New Page -> UnCheck the Tick Mark because if you need the second page Print of GROUP BY.
You can select the Tick Mark in New Page.
SAVE IT and see the Print Preview. it will be get exact Print. .
Regards,
Madhan. -
One business area data is not reflecting queries very urgent
we had two business areas under one chart of account .while executing the query the fig of one business area not reflecting in queries what could be the reason.
please i will assign full points give me best solution.Very urgent
Regards,
sampathmy friend kalpana,
data was ther.i will tell u clear picture
i am configuring fi general ledger accounting.
i ahave loaded line item data to 0figl_o02
and i have loaded leading ledger data to ofigl_o10 and ofigl_c10
when i am executing the query i cannot see the fig from one of our business area ACC.Only CRIS B AREA FIG COMING.
WHTA COULD BE THE REASON.pLEASE HELP ME OTHERWISE I WILL BE
in big trouble.i need to test the data.Please kalpana.....
Thanks & Regards,
Sampath -
Business Area-Cost Center error while doing VL09 (PGI Reversal)
Hi Friends,
Kindly go through the "ERROR" message and "IMPORTANT" point as mentioned below:This is happening while reversal of PGI in VL09.
IMPORTANT: Just to make you aware, the cost center in error (CONSDSPL) was nowhere assigned in FS00 or OKB9. Also to state that at the time of this error some different cost center was assigned in FS00 which was having business area SUGR. So PGIs are picking up two business areas i.e. 1.DSPL (from Plant-Division-BussA setting) & 2. SUGR (for P&L GL from FS00)
Following error coming while doing PGI reversal:
ERROR -
> BAL1/CONSDSPL CTR belong to business area DSPL not SUGR
Message no. KI188
Diagnosis
Account assignment object BAL1/CONSDSPL, type CTR is assigned to business area DSPL. You made an explicit assignment to business area SUGR.
System Response
The posting row may contain only one business area.
Procedure
Perform one of the following actions.
Make an explicit assignment to business area DSPL. To do so you must set the "Business area" field as entry-ready in Customizing.
Enter an account assignment object assigned to business area SUGR.
Change the assignment of BAL1/CONSDSPL to business area DSPL. Note the document number and continue processing the document after changing the assignment.
PLEASE GUIDE. NEEDED ANSWER BADLY.Business area filed in cost center CONSDSPL is DSPL (what it should be). In this scenario, they have assigned SGPRODCTN cost center in GL master wherein business area is SUGR.
That means, when accounting entry is getting generated, it will show two business areas. One will be fetched from "Plant-Division-BussA" setting (SPRO) & the other from GL. Also to make you aware that here the business area should be DSPL, but since they assigned wrong cost center in GL master, the entries are going to SUGR as well.
Most important thing to notice out here is that when this error came "no default account assignment was done through OKB9" The cost center showing in error viz. CONSDSPL was nowhere assigned. So the question is from where the system is fetching this cost center? -
One business area with differnt COA
i am using 8 company codes in 8 different country using different operational chart of accounts. one group chart of account and 3 business area under one client. is it possible to use one group chart of account to get consolidated report for 3 busness area?
help me out to get consolidated report without using further any Chart of accounts.
Thanks
DevaHi,
Are you using Business Consolidation functionality (either R/3 - ECCS or SEM-BCS) in your Organization?
Probably based on your Business requirements, you can consider Business Area Consolidation.
Thanks
Murali. -
FS 10N only getting one business area report
Hai all,
We r using 4.7 version while using t.code fs10n we r getting only one business area report, we r having six business ares
can any one suggest steps to get all other business area reports
regards
Siraj
APDC/SPHi,
If u use Txn FS10N u can include all the business area in one report. i think there's a button called "multiple selection" beside business area field. just click the button and fill in all the related business area which u wanna see in "select single value"'s tab.
hope this will solve ur problem.
TQ
Regards,
Nazrul
Maybe you are looking for
-
FRM-10221 Cannot read file PL000000-but there is no menu named PL000000 !!?
Hi all! I'm having a problem wich will get me nervous! Here we have an application 100% generated from designer. The problem is that it have been started in questionnables ways ... there is 2 workarea to contains all the forms needed for the applicat
-
How to extract custom label from page item
I´m trying to extract custom labels from a page item -a rectangle in this case-, inside a document observer: UIDRef pageItemRef=iCommand->GetItemList()->GetRef(0); InterfacePtr<IScript> script(pageItemRef,IID_ISCRIPT); IScriptLabel::Sc
-
my ibook is freezing up. It usually happens when i'm moving it around. Any suggestions as to why it is freezing?
-
How to override truncateToFit method for SuperTabNavigator
Hi All, How to override truncateToFit method for SuperTabNavigator. we have editableLabel method for changing the tab name. it is dispalying the ... elipse when entered characters grater than the tab width. it is ok. but if the entered cha
-
Is it possible to convert a video to still frame?
I'm working on a stop animation project and I want try to use video instead of still frames to capture the animation because I'm teaching kids. Can I shoot the video and then convert it to still frame shots in Final Cut? I know there is a make a free