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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    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
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    Customer Balance Upload Ac
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    Material Upload Ac
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    Example : Rent Ac-2000 Cr Balance Ac
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    To Vendor Ac 3000
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  • Uploading the account balances to legacy to SAP System.

    Hi All.,
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    Hi Talluri,
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    Asset Master Upload Ac
    Material Upload Ac
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    To Vendor Ac 2000
    To Vendor Ac 3000
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    In case of any clarification you can mail me: [email protected]
    Best Regards
    Ashish Jain
    Pls reward points if this is helpful to you

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    Hi Peers
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    Rajaram

    use report RFBIBL00 (look at its documentation)
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  • 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 .
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    Dear Friends,
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    The Ope item balances may be taken adn clean the data.
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    Hi,
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