Use of trading partner

Hi,
Can trading partner be user for INTRA COMPANY posting ie stock transfer from on plant to another with same company code.
We are doing stock transfer, and we are getting error message --> Consolidated companies US20 and US30 are different.
Here, the sold to/ship to US2020u2019s trading partner is US20 and of the carrier, US3003 has trading partner US30. The utility of the trading partner to us for US3003 is not there as we are not doing nay inter company postings to US3003 (it has itu2019s invoicing party  defined as US3002 to which we do all the invoicing and that has itu2019s trading partner US30 as it should be.
Please suggest
BR,
Zulfikar

The Trading partner field in customer and Vendor master is used to identify the affiliated companies involved in intercompany transactions.
The trading partner field is copied into the account receivable and payable transactions from the customer and vendor master. The Trading partner field also appears in the line items of the offsetting clearing accounts via substitutons.
The trading partner field subsequently can be used during consolidation to eliminate intercompany receivables and payables from the balance sheet and eliminate Intercompany sales and expense figures from the P&L statement.
Customer or vendor invoice: Trading partner information is captured from the customer and vendor master.
Invoice receipts against clearing account and transfers with clearing: While posting Invoice receipt during an Intercompany transaction, the invoice receipt can be posted to a clearing account instead of expense account. The selection of open items must be restricted to those with a certain trading partner when posting a transfer later on, as the trading partner is copied into the transfer line item.
Customer and Vendor Payments: If document types for payments are configured to allow for more than one trading partner in a payment document then the trading partner is copied only on the customer and vendor line item and not on the offsetting entry.
Assets transferred between company codes: If an asset is transferred between group company codes, two accounting documents are generated in each of the involved company codes. The trading partner of each document must be set to the company id of the other company code.
When goods are received from group company code the trading partner is picked for the inventory and GR/IR line items from the vendor mentioned on the order. If invoices are open as on the balance key date then group-internal provisions are created from the GR/IR accounts. These provisions can later be eliminated in Consolidation system.
Regards,
Gaurav

Similar Messages

  • Use of trading partner field in GL Master, Vendor and Customer Master

    Can anybody explain in detail  what is the use of trading partner in masters.
    In GL Master, whether it needs to be updated for all the GLs or only a specific GLs.

    The Trading partner field in customer and Vendor master is used to identify the affiliated companies involved in intercompany transactions.
    The trading partner field is copied into the account receivable and payable transactions from the customer and vendor master. The Trading partner field also appears in the line items of the offsetting clearing accounts via substitutons.
    The trading partner field subsequently can be used during consolidation to eliminate intercompany receivables and payables from the balance sheet and eliminate Intercompany sales and expense figures from the P&L statement.
    Customer or vendor invoice: Trading partner information is captured from the customer and vendor master.
    Invoice receipts against clearing account and transfers with clearing: While posting Invoice receipt during an Intercompany transaction, the invoice receipt can be posted to a clearing account instead of expense account. The selection of open items must be restricted to those with a certain trading partner when posting a transfer later on, as the trading partner is copied into the transfer line item.
    Customer and Vendor Payments: If document types for payments are configured to allow for more than one trading partner in a payment document then the trading partner is copied only on the customer and vendor line item and not on the offsetting entry.
    Assets transferred between company codes: If an asset is transferred between group company codes, two accounting documents are generated in each of the involved company codes. The trading partner of each document must be set to the company id of the other company code.
    When goods are received from group company code the trading partner is picked for the inventory and GR/IR line items from the vendor mentioned on the order. If invoices are open as on the balance key date then group-internal provisions are created from the GR/IR accounts. These provisions can later be eliminated in Consolidation system.
    Regards,
    Gaurav

  • 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

  • Using one trading partner to broadcast to multiple recepients.

    I want to send a single message to two destinations(2 IP's and 2 Ports OR 1 IP & two different ports). I followed the documentation on http://www.oracle.com/technology/products/integration/b2b/pdf/B2B_Technical_Tips.pdf which is kinda confusing. Its the 15th topic. The heading and the content contradicts. I am seeing the overriding behavior and not sending to both IP & ports.
    I assigned "DynamicIP:ABCDHospital_Endpoint:192.168.94.28:14108:192.168.94.28:14107" and message only goes to 14108 port and not 14017. The port configured in my configuration is 14107.
    Can I send same message to multiple IPs/Ports? If yes how? I want to achieve this by using single TP/agreement.
    DP

    Hello Dipal,
    There is a lilttle catch. Eventhough your Delivery channel which is used in the agreement for a specific trading partner specifies some IP/Port, you can dynamically send the message to some other IP as well. This is specified in the document.
    This will give a flexibility of sending the HL7 message not just to the end point which is mentioned in the agreement but also to any othere ip/port as driven by the ACTION_NAME field in the IP_MESSAGE type. However ACTION_NAME filed overrides the delivery channel information, hence at any point of time you can
    1. Send a message to the end point mentioned in the delivery channel and used in the agreement. In this case ACTION_NAME is null or
    2. Any dynamic end point driven by the ACTION_NAME.
    Hope this is clear.
    Rgds,Ramesh

  • Trading Partner and Validation for Tradin Partner

    Hi Gurus,
    Please tell me the use of Trading Partner field while doing transactions. What is the benefit we can get out of it?
    Can we write a validation rule, so that system will throw an error, if particular trading partner is used for particular profit center group or profit center?
    Please revert back asap.
    Thank You

    Hi,
    This will clear ur ideas...
    In Business Terms Trading partner is your business partner within Group with whom you are doing business.
    In order to identify Inter Company transactions Trading partner field is used.
    You need to define all the Group Companies as company in SAP and all the defined Companies will be available for selection in Trading partner field. Trading partner can be defaulted in GL, Customer or Vendor Master. If you need you can populate trading partner at Document level too by doing settings in Document Type Master in T Code OBA7.
    Trading partner is normally used to control (payment/transaction) vendor/customer business with the group. Something like group/inter group business. You have to go to master record. for eg, in customer master, go to CONTROL DATA tab so see Acccount Control, in which you have provide trading partner number/reference.
    Regards
    Manish

  • Trading Partner Block for Postings

    HI Guru's,
    With Enerhgy having a new company code "G1SG", is it possible to block "ENRGHY" in SAP to prevent users from selecting this trading partner.
    Purpose is to just use 1 trading partner for Enerhgy. Now, Enerhgy has 2 trading partners in SAP for users to select from.
    Kindly advise, thanks.
    regards
    JK

    Hi,
    The simplest to do would be to enter "Do not Use" in front of the trading partner text.
    There may also be authorisation objects for it, will check and revert.
    cheers.

  • Trading Partner field in control view of Vendor Master

    what is the use of Trading Partner field in control view of Vendor Master.
    In which business scenario it is used.

    I searched the Forum and found many threads on this topic in ERP financial.
    This field is connected to FI.
    Since I was not aware of this so I posted in MM forum after searching in MM forum. I apologize but this happened due to ignorance.
    Below threads will give insight into this
    Re: Use of trading partner field in GL Master, Vendor and Customer Master
    Trading Partner ??
    trading partner
    Thanks to all

  • Trading Partner field in G/L creation

    Hi,
    Can someone please tell me the use of Trading Partner field used G/L creation?
    Thanks in Advance.
    Sagar

    Hi Sagar,
    In Business Terms Trading partner is your business partner within Group with whom you are doing business.In order to identify Inter Company transactions Trading partner field is used. You need to define all the Group Companies as company in SAP and all the defined Companies will be available for selection in Trading partner field.  Trading partner can be defaulted in GL, Customer or Vendor Master.  If you need you can populate trading partner at Document level too by doing settings in Document Type Master in T Code OBA7.
    Trading partner is normally used to control (payment/transaction) vendor/customer business with the group. Something like group/inter group business.  You have to go to master record. for eg, in customer master, go to CONTROL DATA tab so see Acccount Control, in which you have provide trading partner number/reference.
    Regards,
    Ramanuja.

  • B2B integration with just one trading partner using a dedicated VPN channel

    Hi colleagues,
    We are working in a B2B integration escenario, where our company will just integrate with a service provider using a dedicated VPN channel, so we won't go out to internet, for that B2B communication we have identified 10 inbound + 9 outbound interfaces.
    Do we need to look into implemeting an document exchange protocol for that? Of course we need some ACK mechanism as there'll be SLAs in place. If so, what would it be the most appropiate? I've been reading about ebxml, rosettanet etc but still not very clear for me which level of customization you'll need in order to apply those protocols. If this is much and given the fact that we are just dealing with a trading partner and we won't scale this platform to use more parther in the future, would it be worthy to customize our own ACK mechanism?
    If relevant, in our side we use oracle fussion middleware, the trading partnel is using SAP IS-U. The message format will be standard XML, we haven't identified the need of any other formatting at the moment such EDI.
    I know this is a very open question, so any advices or recommendations on that are highly appreciated.
    Regards,

    Hello Dipal,
    There is a lilttle catch. Eventhough your Delivery channel which is used in the agreement for a specific trading partner specifies some IP/Port, you can dynamically send the message to some other IP as well. This is specified in the document.
    This will give a flexibility of sending the HL7 message not just to the end point which is mentioned in the agreement but also to any othere ip/port as driven by the ACTION_NAME field in the IP_MESSAGE type. However ACTION_NAME filed overrides the delivery channel information, hence at any point of time you can
    1. Send a message to the end point mentioned in the delivery channel and used in the agreement. In this case ACTION_NAME is null or
    2. Any dynamic end point driven by the ACTION_NAME.
    Hope this is clear.
    Rgds,Ramesh

  • To enter Trading Partner data for vendor posting using SGL indicator

    Hi,
    I am trying to post a vendor document using f-02, with posting key 29, with a special GL indicator. I need to input the trading partner data. However, I could not find the field under "more data". There was no "further data" selection. I was also not able to enter the trading partner via the path : Extras -> trading partner.
    Please advice how to pull out the field for trading partner for posting using special GL indicatior. I have checked the PK variant screen and the field status group variant ansd could not find the field trading partner.
    Thanks.
    Angel.

    Hi,
    already maintained in vend master data, OBA7, OBC4, OB41 were also maintained.
    But the thing is, the trading partner field did not appear on the posting screen. I was prompted with an message that trading partner is a required field as I have set it as mandatory. And the system ask me to input under "further data". But i cannot find that option. Neither can I find the trading partner field.
    Please assist.
    Angel.

  • B2B SelfService Error creating Trading Partner .zip import file using ant

    SOA 11g 11.1.1.5 B2B - We are trying to create an import file for out trading partners into SOA B2B 11g but are getting errors when we run the ant script to build the import zip file.
    We ran the ant-b2b-util to get the b2bselfservice.xsd file, loaded that into jDev to show the selfservice.xml structure.
    We have built a trading partner xml file and at this point have stripped it down to one TP just to see if we could get it to work and we keep getting the same error messages.
    From the $SOA_ORACLE_HOME/bin directory (where we have placed our TP xml file: TPD_NA.xml) here is the command and results from running the ant script:
    [oracle@nalinoap05 bin]$ ant -f ant-b2b-util.xml b2bselfservice -Dinput=$ORACLE_HOME/bin/TPD_NA.xml -Doutput=$ORACLE_HOME/bin/TP_Docs.zip
    Buildfile: ant-b2b-util.xml
    b2bselfservice:
    weblogic_dependencies:
    [echo]
    [echo] Weblogic server location: /oracle/SOAWDEV/11.1.1.5/Oracle/Middleware/wlserver_10.3
    [echo] JNDI properties folder location: /oracle/SOAWDEV/11.1.1.5/Oracle/Middleware/Oracle_SOAWDEV/bin
    [echo]
    verifyargs:
    utility:
    [echo]
    [echo] java.naming.provider.url=${java.naming.provider.url}
    [echo] java.naming.factory.initial=${java.naming.factory.initial}
    [echo] java.naming.security.principal=${java.naming.security.principal}
    [echo] java.naming.security.credentials=*****
    [echo]
    [echo]
    [echo] args=selfservice
    [echo]
    [java] Commandline arguments 1: [selfservice]
    [java] 2012.04.10 at 13:27:35:559: main: (INFO) Input file location(s) :[oracle/SOAWDEV/11.1.1.5/Oracle/Middleware/Oracle_SOAWDEV/bin/TPD_NA.xml]
    [java] 2012.04.10 at 13:27:35:559: main: (INFO) Output file location :/oracle/SOAWDEV/11.1.1.5/Oracle/Middleware/Oracle_SOAWDEV/bin/TP_Docs.zip
    [java] 2012.04.10 at 13:27:35:596: main: (INFO) TradingPartner created :/soa/b2b/tp_id1AC191488133.xml
    [java] 2012.04.10 at 13:27:35:600: main: (SEVERE) TPD_NA.xml: Combination of Documentprotocol=EDI_X12 docVersion=4010VICS docType=852 docDef=852Def not found in doc_*.xml file
    [java] 2012.04.10 at 13:27:35:600: main: (SEVERE) TPD_NA.xml: Combination of Documentprotocol=EDI_X12 docVersion=4010 docType=997 docDef=997Def not found in doc_*.xml file
    [java] 2012.04.10 at 13:27:35:600: main: (SEVERE) TPD_NA.xml: Combination of Documentprotocol=EDI_X12 docVersion=5010 docType=850 docDef=850Def not found in doc_*.xml file
    [java] 2012.04.10 at 13:27:35:601: main: (SEVERE) TPD_NA.xml: Combination of Documentprotocol=EDI_X12 docVersion=5010 docType=860 docDef=860Def not found in doc_*.xml file
    [java] 2012.04.10 at 13:27:35:601: main: (SEVERE) TPD_NA.xml: Combination of Documentprotocol=EDI_X12 docVersion=4010VICS docType=864 docDef=864Def not found in doc_*.xml file
    [java] 2012.04.10 at 13:27:35:601: main: (SEVERE) TPD_NA.xml: Combination of Documentprotocol=EDI_X12 docVersion=5010 docType=864 docDef=864Def not found in doc_*.xml file
    [java] 2012.04.10 at 13:27:35:601: main: (SEVERE) TPD_NA.xml: Combination of Documentprotocol=EDI_X12 docVersion=5010 docType=997 docDef=997Def not found in doc_*.xml file
    [java] 2012.04.10 at 13:27:35:602: main: (SEVERE) TPD_NA.xml: Combination of Documentprotocol=EDI_X12 docVersion=5010 docType=856 docDef=856Def not found in doc_*.xml file
    [java] 2012.04.10 at 13:27:35:602: main: (SEVERE) TPD_NA.xml: Combination of Documentprotocol=EDI_X12 docVersion=5010 docType=810 docDef=810Def not found in doc_*.xml file
    [java] 2012.04.10 at 13:27:35:691: main: (SEVERE) TPD_NA.xml: Error in Validation:
    [java] [org.xml.sax.SAXParseException: XML-24536: (Error) Missing Attribute 'documentDefinitionRef',
                   org.xml.sax.SAXParseException: XML-24536: (Error) Missing Attribute 'documentDefinitionRef',
                   org.xml.sax.SAXParseException: XML-24536: (Error) Missing Attribute 'documentDefinitionRef',
                   org.xml.sax.SAXParseException: XML-24536: (Error) Missing Attribute 'documentDefinitionRef',
                   org.xml.sax.SAXParseException: XML-24536: (Error) Missing Attribute 'documentDefinitionRef',
                   org.xml.sax.SAXParseException: XML-24536: (Error) Missing Attribute 'documentDefinitionRef',
                   org.xml.sax.SAXParseException: XML-24536: (Error) Missing Attribute 'documentDefinitionRef',
                   org.xml.sax.SAXParseException: XML-24536: (Error) Missing Attribute 'documentDefinitionRef',
                   org.xml.sax.SAXParseException: XML-24536: (Error) Missing Attribute 'documentDefinitionRef']
    [java] Java Result: 255
    BUILD SUCCESSFUL
    Total time: 1 second
    Here is the contents of TPD_NA.xml:
    <?xml version="1.0" encoding="UTF-8"?>
    <SelfService xmlns="http://xmlns.oracle.com/integration/b2b/selfservice/profile">
    <TradingPartners>
    <TradingPartner hosted="false" name="OvvvvvvvX" >
    <Identification name="EDI Interchange ID" value="18xxxxxxxxxX" />
    <Identification name="EDI Interchange ID Qualifier" value="14" />
    <Identification name="DUNS" value="18xxxxxxxxxX" />
    <Identification name="Generic Identifier" value="18xxxxxxxxxX" />
    <Identification name="AS2 Identifier" value="18xxxxxxxxxX" />
    <SupportedDocumentDefinition initiator="true" docTypeName="852" docProtocolVersion="4010VICS" docProtocolName="EDI_X12" docDefName="852Def" />
    <SupportedDocumentDefinition initiator="true" docTypeName="997" docProtocolVersion="4010" docProtocolName="EDI_X12" docDefName="997Def" />
    <SupportedDocumentDefinition initiator="true" docTypeName="850" docProtocolVersion="5010" docProtocolName="EDI_X12" docDefName="850Def" />
    <SupportedDocumentDefinition initiator="true" docTypeName="860" docProtocolVersion="5010" docProtocolName="EDI_X12" docDefName="860Def" />
    <SupportedDocumentDefinition initiator="true" docTypeName="864" docProtocolVersion="4010VICS" docProtocolName="EDI_X12" docDefName="864Def" />
    <SupportedDocumentDefinition initiator="true" docTypeName="864" docProtocolVersion="5010" docProtocolName="EDI_X12" docDefName="864Def" />
    <SupportedDocumentDefinition initiator="true" docTypeName="997" docProtocolVersion="5010" docProtocolName="EDI_X12" docDefName="997Def" />
    <SupportedDocumentDefinition initiator="false" docTypeName="856" docProtocolVersion="5010" docProtocolName="EDI_X12" docDefName="856Def" />
    <SupportedDocumentDefinition initiator="false" docTypeName="810" docProtocolVersion="5010" docProtocolName="EDI_X12" docDefName="810Def" />
    </TradingPartner>
    </TradingPartners>
    </SelfService>
    We have exported our metadata and looked at the doc_EDI_X12.xml file and ALL of these referenced documents exist in that file and can be seen by going to Administration --> Document and under the Document Protocols navigation --> EDI_X12 --> 5010 --> 810 --> 810Def (as an example).
    If we strip out all of the SupportedDocumentDefiinition lines then the ant script will build an import file with just the trading partners and Identifications.
    What are we doing incorrectly or what is not working properly to get the ant script to build the import zip file??
    Thanks for any assistance,
    Ken

    Does that mean we have to create all of the document type definitions in the selfservice file?
    We have created (installed) all of the document types by installing them from the B2B Administration --> Document page.
    The definitions in the Trading Partner xml file exactly match the definitions of the installed documents.
    In the selfservice.xsd the <element> SelfService shows the profile:DocumentProtocols as minOccurs as 0 :
         <element name="SelfService">
              <complexType>
                   <sequence>
                        <element minOccurs="0" maxOccurs="1"
                             ref="profile:DocumentProtocols" />
                        <element minOccurs="0" maxOccurs="1"
                             ref="profile:TradingPartners" />
                        <element minOccurs="0" maxOccurs="1"
                             ref="profile:Agreements" />
                   </sequence>
                   <attribute name="version" type="profile:non-empty-string"
                        use="optional" />
              </complexType>
         </element>
    so we thought that since the documents had already been defined (created/installed) to B2B they would not have to be redefined in the selfservice xml.
    If we have to define all of the document types in the selfservice xml file that we are using for the trading partners what are the minimum values that we need to include?
    Could we use minimal definitions such as this:
    <DocumentProtocols>
    <DocumentProtocol name="EDI_X12">
    <DocumentProtocolVersion name="4010">
    <DocumentType name="850">
    <DocumentDefinition name="850def" />
    </DocumentType>
    <DocumentType name="997">
    <DocumentDefinition name="997def" />
    </DocumentType>
    </DocumentProtocolVersion>
    </DocumentProtocol>
    </DocumentProtocols>
    before the <TradingPartners> section of the seflxervice xml file?
    Thanks for your assistance!

  • Trading Partner for open item document prior to BCS implementation

    Dear Experts,
    We have just introduced BCS in our company currently. One of the difficulties the user are facing is that the open item (many of them - thousand open item with different currencies and exhange rate) prior to the introduction of BCS does not contain Trading Partner. This ended up that the adjustment on the Trading Partner has to be done in BCS regularly. The amount in value of adjustment is not fixed - since there could be subsequent payment that will clear the open item.
    I understand that TP cannot be changed once posted. Have read a lot in the SAP portal and forum.
    Question: Based on your experience, it there a way that I can overcome this problem? Could SAP somehow allow TP to be assigned to open item document prior to implementation of BCS?
    I hope I can get some answer, otherwise, our user has to diligently continue to put the adjustment until all the open items are cleared.
    Thank you.
    Regards
    Fauzi

    hi,
    Check whether the document type you are using to post is allowed to enter the trading partner.
    To check use the TCODe OBA7  and select the relevent document type. then select the check box enter trading partner under control data.
    and also check the customer you assigned for that posting key 01 is got assigned trading partner in the master record or not(TCOD XD02/XD03).
    thanks.

  • Copy Trading Partner to Asset line items from Vendor line items in F-90

    Dear Friends,
    I want to copy trading partner field from Vendor line item to other line items like Asset and Tax in T.code - F-90
    Client want to use Transaction type - 100
    Is it feasible?
    Thanks in advance

    try:
    1) substitution - tcode OBBH
    or
    2) open FI - menu FIBF tcode BF44
        - event 1120 or 1130
    A.

  • Error validating TP...AIP-11052: Writing following objects: Trading Partner

    Hi,
    I am getting following error validating trading partner. I have double checked the TP setup, everything looks fine. I had earlier successfully validated, later added a document type and trying to re-validate.
    AIP-11052: Writing following objects: Trading Partner failed due to following constraint violation: PARTY. CAN NOT UPDATE UNVERSIONABLE OBJECT IN A VALIDATED CONFIGURATION
    Does anyone have any clues??
    Thanks
    Venkat

    Make sure you do not have active configuration which is using this agreement.

  • 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!

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