Uploading of customer balances to GL A/C
How do we upload trial balance figures. is it through lsmw or through passing JV
HI
There are 3 ways to upload Customer balances with some precausions as well..
the ways will be a. BDC b. LSMW c. scat tool
the precautions will be:
1. If it is addition to existing balances then take the existing balances from trial balaces reports.
2. consider the new balances with old balances then record (SHDB) the FB01 transaction for BDC if ur going through BDC program.
3. If it is new balances then create one new document type with number range concept.
4. After upload of the balances then tally the balances with existing ones , and disconnect the link between the document type with number ranges because with the same document type no one elce should post with the same document type.
5. Consider the correct posting keys while uploading the balances
Let me know for any assistance.
Regards,
Suresh
Similar Messages
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How to transfer gl, vendor, customer balances from 1com code to 2 com code
Hi sap guru's,
Regarding one issue, please give me the solution it's urgent,
My problem is My client will having 11 com codes. out of those one company code is merge with another company code. so how to transfer all balances from one company code to another company code.
is there any effect will haapen once balance upload. ie adjustments
Thanks & regards,
Maruthi.You create one account grp Uplaod accounts.In which you create 5 GL masters with follwing data
Tax Catergory :*
Line Item Display : Yes
Open Item Display : Yes
Sort: 0001(Gl), 012(Vend),031(Cust)018(Asst) etc
FSG: g001
Under that grp you need to create all 5 accounts . All are balancesheet Accounts
GL Balance Upload Ac
Customer Balance Upload Ac
Vendor Master Uplaod Ac
Asset Master Upload Ac
Material Upload Ac
You should take the trail balance of the company and chose all gl accounts with balances
use LSMW uplaod GL balance upload f-02
Example : Salareis Acc - 5000 Dr Balance
Then entery will be
Salaries Ac----
Dr 5000
To GL Uplaod Ac 5000
Example : Rent Ac-2000 Cr Balance Ac
Then the GL entry will be
GL upload Ac----
DR 2000
TO Rent Ac 2000
Example for Vendor upload Account F-43
Vendor Cr Balnce- 5000 and client want ot upload line item wise
ex line items are: 1000,2000,3000
Vendor Upload Ac----
Dr 50000
To Vendor Ac 1000
To Vendor Ac 2000
To Vendor Ac 3000
Same with the case of Customer F-22,
Assets : For assets you need to use AS91 which will create asset master data and upload
chandra -
Uploading the account balances to legacy to SAP System.
Hi All.,
Alter uploading the master data to the sap system, we have to upload the individual account balances to GL, customers & vendors, and assets, ...
can any one please tell me what are all the options available & methods to upload the accounts balances.
Thanks in advance.
Talluri.Hi Talluri,
For uploading you need to create 5 GL masters
You can create one account grp Uplaod accounts.
Tax Catergory :*
Line Item Display : Yes
Open Item Display : Yes
Sort: 0001(Gl), 012(Vend),031(Cust)018(Asst) etc
FSG: g001
Under that grp you need to create all 5 accounts . All are balancesheet Accounts
GL Balance Upload Ac
Customer Balance Upload Ac
Vendor Master Uplaod Ac
Asset Master Upload Ac
Material Upload Ac
You should take the trail balance of the company and chose all gl accounts with balances
use LSMW uplaod GL balance upload f-02
Example : Salareis Acc - 5000 Dr Balance
Then entery will be
Salaries Ac----
Dr 5000
To GL Uplaod Ac 5000
Example : Rent Ac-2000 Cr Balance Ac
Then the GL entry will be
GL upload Ac----
DR 2000
TO Rent Ac 2000
Example for Vendor upload Account
Vendor Cr Balnce- 5000 and client want ot upload line item wise
ex line items are: 1000,2000,3000
Vendor Upload Ac----
Dr 50000
To Vendor Ac 1000
To Vendor Ac 2000
To Vendor Ac 3000
Same with the case of Customer, Assets
For material initial upload use T-code MB1C and movement type will be 561
After upload block all the 5 gl masters which you have created for upload
dont show this Gl in Financial statement versions.
Hope this will help you.
In case of any clarification you can mail me: [email protected]
Best Regards
Ashish Jain
Pls reward points if this is helpful to you -
Hi Peers
I want to know the difference between Customer Balance upload and Vendor balance upload. How do you upload transactional data upload. If any boby have any documnets for this plz fwd it to me. My email id is [email protected] Its very very urgent
Regards
Rajaramuse report RFBIBL00 (look at its documentation)
A. -
Uploading the GL, Vendor and Customer balances
What is the procedure to upload the Opening balances of GLs, Vendor and Customer balances using T Code F-02.
The Ope item balances may be taken adn clean the data.
For AP some clients curt the check and release it later .
If that is the case no need to load AP items,Agian this is depend on the business arrangemnets.
The data may be loaded FB60, FB70 transactions.The transaction may be recorder and use LSMW
Create a GL account ( data conversion acccount)
Customer:
Dr Customer
Cr Data convertion accounmt
Vendor:
Dr Convertion Account
Cr Vendor
The data collected in Xl may be converted as Tab delimited Txt file and may be used for LSMW.
Hope this is clear. Allot the points if you get some resolution for yr doubt.
Chitras -
hi experts,
can any one tell me what r the screens come for transaction code 'f-22' customer balances upload.what r the mandatory fields for each screen.
Thanks &Regards
ravikumarhi javeed
pls let me know
arjun -
Customer balance upload (AR)
I have uploaded the customer master into SAP.Now these customer owe us some money.So I have a file where three column is there. customer number , Balance due and due date.I want to know (or which table ) load customer balance into SAP ?
Hi Satya,
I would suggest that you upload the balance for these customers as AR open items. You already have their amounts and the due dates. Just create an upload program, using BDC. You may record the BDC using transaction SHDB and in there you can create batch recording for transaction e.g. FB01. Just create a dummy AR open item with corresponding offsetting to a dummy GL account. Give this to an ABAP resource who will give you the excel file format for the upload. With this you can have the AR uploaded with the balances.
Remember, that all the master data should be in place for customers and GL.
Let me know if I can help you more.
Vishal. -
Uploading Customer balance f-22....
Hi All,
I need to upload customer balances using f-22 transaction. Could anyone provide me the BDC coding to upload customer items as soon as possible.
regards
PSNGAny postings made to below Controlling Objects are Real:
- Cost centers (for account assignment of costs)
- Orders (true)
- Projects (true)
- Networks
- Make-to-order sales orders
- Cost objects
- Profitability segments
- Real Estate Objects
- Business Processes
You can use true Controlling objects as senders or receivers.
Any Postings to below objects are Statistical:
- Revenues & Sales Deductions posted to Cost Centers
- Cost centers, if a true account assignment object already exists
- Statistical Internal Orders
- Statistical projects
what are the objects that you are posting to....analyse what is the nature of the object whether it is real or statiscal ...if you are using both cost centre and IO as mentioned by you may be in this case order would have been statistical....( chk IO whether you have made this statiscal)...and you might be posting revenues to the cost centre which would again be a statiscal.
you can give multiple account assignments but at least one assignment should be real...that's what that error means. -
Dear Friends,
When we uploaded cutover customer data there might be some difference for all customers
we used offsetting entry Upload GL account.
Now we have recieved accurate customer open data for upload
Please let me know how to make this changes.
what what will be the Impact of Upload GL account at the year end which we are using for offsetting entry.
Your Inputs will be appriciate.
Thanks in advance.
JDhi javeed
pls let me know
arjun -
Gl, vendor and customer balances in program
I need to upload GL, Vendor and customer balances in single program(bapi or normal recording also.). If any body is having code for this and any thread is available please help me .. urgent...
Thanks inadvance
praveenThe Ope item balances may be taken adn clean the data.
For AP some clients curt the check and release it later .
If that is the case no need to load AP items,Agian this is depend on the business arrangemnets.
The data may be loaded FB60, FB70 transactions.The transaction may be recorder and use LSMW
Create a GL account ( data conversion acccount)
Customer:
Dr Customer
Cr Data convertion accounmt
Vendor:
Dr Convertion Account
Cr Vendor
The data collected in Xl may be converted as Tab delimited Txt file and may be used for LSMW.
Hope this is clear. Allot the points if you get some resolution for yr doubt.
Chitras -
S_ALR_87012247 - Customer Balances and Line Items in Local Currency
Hi All,
This report S_ALR_87012247 - Customer Balances and Line Items in Local Currency is not displaying line items for customers in ECC6. Is there any configuration required to get the line items? Please help
Thanks
SrideviIf you see this report S_ALR_87009950, you will get
Opening Balance at the start of fiscal year
Debits and Credit during the reporting period
and the Cumulative Balance.
Please note the above report will not give you line item details.
S_ALR_87012247 report is specifically for poland, in the description it is mentioned that the line items will be displayed, unfortunately, for other countries, there are no line items visible. Therefore, you may explore the possibility of copying this report and changing the code in order to bring the line items along with the totals. -
Problem in making logic for customer balance report
Hi,
I am working on a customer balance report in which i am picking the data from BSAD and BSID tables. I am facing a problem that i am able to calculate the opening balance in it but not able to calculate closing balance. I am comparing the data with tcode FBL5N for opening and closing balances for a given date range. Kindly help me out where i am getting wrong:-
Here the link to the code :-
http://docs.google.com/View?id=dfxswwff_11fdktr7ct
Edited by: nav009 on Feb 6, 2010 9:30 AMHi Nikhil,
Thanks for you response but i had developed the report and i am able to pick the correct data but i am facing the problem in displaying the NETAMT which is displaying the data using this formula :-
1.) NETAMT = NETAMT + W_TAB1-DR + W_TAB1-CR.
so that the last value matches with the closing balance.
When i am using this formula i am not able to display the correct data of deducting or addition of the opening balance in it but the value matches with closing balance .
2.) NETAMT = NETAMT + W_OPBAL-OPBAL + W_TAB1-DR + W_TAB1-CR.
When i am using this formula it is showing the first value correctly but not the last one which will be displayed in the closing balance.
I want to have desired output to display the first value to be displayed as it is showing in the (2) and last value to be displayed as it is showing in (1) last value.
How can i achieve this functionality? i really want to know...
Edited by: nav009 on Feb 10, 2010 6:29 AM -
How to see the customer balance as on particular date wise
hello expert,
i want to see the customer balance as on particular date wise. i have already search the given standard t code. is there any option to see the report. please advice me.
Thanks and regards
konishko
Moderator: Search SDNHi,
Please try reports S_ALR_87012168/S_ALR_87012174.
Regards,
SAPFICO -
Error while uploading the custom app 2nd time
Hi All,
when i am uploading the custom application through the program /UI5/UI5_REPOSITORY_LOAD for 1st time it is getting properly uploaded, if we do any changes again uploading then i am not able upload the file of the app.
following error are shown in the output.
Help me out in this issue.
Thanks & Regards
Rakesh RaparthiHi,
It seems that you have solved your issue, thanks for your posting.
Best Regards,
Jambor
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Change print program of Customer Balance Confirmation (F.17)
Hey experts,
I created a customer print program "ZSAPF130D" which is going to replace the standard print program "SAPF130D".
However, I found no possibility to change the print program for transaction F.17 in the customizing (SPRO) section.
In customizing
SPRO--> Financial Accounting (New) --> Accounts Receivable and Accounts Payable
--> Business Transactions --> Closing --> Count --> Balance Confirmation Correspondence --> Make and Check Settings for Correspondence
--> Define Form Names for Correspondence Print
I was able to attach my new custom form (sapscript) to the Customer Balance Confirmation but found no way to change the pring program.
I could be able to change the attached program via se93 but i don't know if this is the right way to do so.
Could you please give me some advice,
thanks in advance,
treee111 - BenHi Gordon,
you are right, I'm sorry that I posted here.
Could a moderator please delete this post since I have already postet in the right forum.
Thanks,
Ben
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