Which user release the Billing document Number
Hi,
I want to see that which user release the Billing document Number. (release to accouting)
From where we can see this??
Edited by: @ABAP@ on Feb 20, 2010 11:57 AM
Go to FB03 --> Enter the document and othe details --> Enter --> next screen click at "Display document header" (Small Cap icon) --> There in field "Entered by" you can see the name
Regards,
MT
Similar Messages
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Error while releasing the billing document to accounting
Dear All,
I need your favor to resolve the below issue:
(System SAP SAP ECC 6.0)
User is getting the below error message while releasing the billing document to accounting in VF02:
This is an inter-company billing document (B. type : IV) created in company code 0151. Payer is "IC0186", verified the customer has been setup in 151.
Corresponding invoice has been successfully posted in company code 0186. (Partner : P0151)
User is able to post the inter-company document in 0151 using other inter- company partner (ex. IC0183). Therefore, seems that Document type can't be an issue here.
"Consolidated companies 151 and 186 are different
Message no. F5080
Diagnosis
The number of the affiliated company must be clear for the selected document type for all the line items. In this case at least two different companies or a company in connection with a business partner who does not belong to a company are stated.
Procedure
If you selected the correct accounts, you must enter the document with a document type that allows cross-company posting. Otherwise, please correct the entered account."
Could anyone please suggest what can be the reason, if any configuration is missing. Any help is this regard will be highly appreciated
Thanks in advance,
PraveenHi Murali,
Thanks for the prompt input, however as mentioned document type can't be an issue. Since user is able to post the document (same document type) using other inter-company partner in 0151.
Thanks,
Praveen -
In FBL5N report user wants the sales document number to be displayed,
HI, Guys
Need ur help to sort out the problem
In FBL5N report user wants the sales document number to be displayed,
but the sales ducument number column is coming blank and this needs to pick from VBRP table
As I discussed with Abaper, he reqiures a key field which common in BSEG abd VBRP table
So,Please guide me in approaching the right way
MunenderHi,
Speak with your SD consultant. They can set up the copy control in SD so that the sales order is populated in the invoice in field ZUONR (Assignment).This will then copy to the assignment field in accounting.
Alternatively you can use an exit to populate another field during the Posting.
Kind regards -
While releasing the billing document error
Dear TEAM,
While releasing the billing document system was showing the message like NO STANDARD COST ESTIMATE COULDBE FOUND FORTHE MATERIAL.
I have suggested to the user to release the price through ck24.At that time system is showing the message like cost has not been created for the inhouse production.
The samething was tested in Qualiy server and the transaction was through.I have not done any price release for the samematerial.I have checked the table under VBAP the documents was made against to the samematerial.That time we have not faced any issues like this.
Note:Material ledger concept using by client.
Please kindly advice how to proceed further.
Regards,
Sumahave you checked in ck13n if there is a standard cost estimate for the material and what status it has, if there is one? Also, what are the dates in that cost estimate? How do they compare to the date of the billing document? What does the customizing say about the selection of cost estimates for valuation of SD documents? SPRO>Controlling>profitability analysis>master data->valuation-->Set up valuation using material cost estimates
Nikolas -
Problem in releasing the billing document
When I am trying to release the billing document to accounting, I am getting the following error.
"Account XYZ requires an assignment to CO object".
What could be the cause of it?Hi Christino,
Carefully think about it first as to which account groups belong to which chart of accounts (or which profit center groups to which controlling area).
Then call report ZECPCA11 for the respective top hierarchy node of a hierarchy of account groups (or profit center groups).
Enter the name of the hierarchy node under "Group", the name "RACCT" for account groups (or "RPRCTR" for profit center groups) under "Field" and the required chart of accounts (or controlling area) under "Searchf".
The "0H_Kennz" indocator should generally be marked (all groups that were created with the maintenance transactions in EC-PCA are technically stored as 0H sets in the database, that is, with prefixed "0H").
Report ZECPCA11 fills the T800S-SEARCHFLD field with the required chart of accounts (or controlling area) for all groups of the entered hierarchy.
After you have corrected all hierarchies this way, you should be able to maintain the account groups or profit center groups again.
You can find report ZECPCA11 on SAPSERV in directory /ftp/general/R3Server/ABAP/note.0042821 under the name "ZECPCA11.TXT". Alternatively, create the report from the 'Corrections' section using Transaction SE38.
For further more details, please refer the SAPnote 42821
https://websmp230.sap-ag.de/sap(bD1lbiZjPTAwMQ==)/bc/bsp/spn/sapnotes/index2.htm?numm=42821
hope it will be useful. Appreciate with points if it useful.
Thanks and Regards
Vetrivelan -
Error while releasing the Billing document
Hi Everyone,
Encountering an error with the description 'Balance in Transaction currency' while trying to release the Billing document from VF02 transaction, still didnt come across the right oss note that can remove this error, can any one give me a clue on this,
Rgds,hi,
We are facing similar problem, when releasing the billing document to accounting.
Have you been able to find the solution to this problem. If so, kindly suggest the answer
Thanks
Dinesh -
Error While Releasing the Billing Document Msg No. KE/AD 243
I am getting error while releasing the billing document
Error No KE/AD 243
This error comes in particular billing document only others are posted correctly.
Rgds
DhirajDear Anil
We had applied EHP3 enhancement, before EHP3 is working fine with no transfer sign assignment but after EHP 3 it gives the error and not in all billing document but in particular document only. so i think there is no changes required in KE4I.
Rgds
Dhiraj -
FM-release the billing document to FI postings
Hi SAP Gurus,
I would just like to ask, what Function Module can be use to release the billing document to FI postings? I hope someone can help because Im kinda new with this.
Thanks in advance.The program i have provided is a report, if you can understand using the program you can just use SUBMIT statement and there is no need of FM's.
Alternatively if you want you may explore FM: SD_INVOICE_RELEASE_TO_ACCOUNT.
Regards
Eswar -
Error while generatin the Billing document number in WPUK
Dear Experts,
My clien thaving ISRETAIL ECC6.0 version & we would like to implement Fund management. At the time of sales at stores below mentioned error displaying.
No commitment item entered in item 2700 2009 9000067
In this my company code is 2700
9000067 is billing document number (It is not yet created)
Best Rgds
Suma980273 NOTE HAS BEEN APPLIED TO ERROR FREE
-
Product costing erroe at the time of releasing the billing document in vf02
Hi co experts
while releasing billing document to accounting in T.Code VF02 it is showing error that no product costing estimate could be found
messege number ke380
i really appreciate for the early responce
regards
venkat
Edited by: venkataswamy bathini on Mar 14, 2009 10:43 AMHi
i have estimated the cost in ck11n ,marked and released in ck24.
the std price will updating in meterial master.
i tried the tranaction in vfo2, but still getting same error
this is the Diagnosis
in copa the system tried to find a product cost estimate for product 44 in plant 1100 that uses costong variant dc08
the system lokked for the cost estimate using costing keys dcb as defined in the copa customizing settings
Regards
venkat
Edited by: venkataswamy bathini on Mar 14, 2009 12:36 PM -
Error when trying to release the billing document to FI accounting
Hello,
when we are trying to release the document to accounting, we get the error :
"The tax amount must not be greater than the tax base"
Could you, please, let me know what should be checked, as customer is saying all data is correct
thanks in advance for your precisous help
regards
HanaHi Hana,
There is a note exist for this error.
Please look into it, it will help you to resolve the issue.
Note 606342 - Tax amount is larger than tax base
Hope this helps,
Regards,
MT -
Releasing the billing document through VFX2
Hello Guru
While i am realsing billing document to accounting VF02 getting error
SYST: Tax jurisdiction code at lowest level not transferred"
Message no. FF793"
Wiating Response
Thanks and Advance
LaxmiYou may be perhaps using an external taxware like Sabrix, wherein External Tax Interface values are not passed.
Check with OSS notes. -
While releasing the billing document to accounting
Dear Guru,
We are into rollout project . New condition types are defined by the SD Consultant and account key is defined but while i m releasing to accounting i mgetting the following error
[No account was specified for account type "S" in item "0000001003" of the FI/CO document.
i v checked the account determination analysis i m getting the Gl account depend upon the conditions
Thanks & Advance
LaxmiHi,
Try not to repeat your questions.
Check the properties of the GL account and field account type.
Ask your FI consultant he will do the rest.
Tcode FS00.
Reward points if useful
Regards,
Amrish Purohit -
FBL3n -billing document number
Hi All,
My user wants to see the billing document number for sales gl account in the fbl3n
I changed the layout there i am getting the billing docuemnt filed but iam not getting the numbers
Plz give me ur vluable suggestions
Regards
RenuHi,
The field billing document 'VBELN' is contained in table BSEG AND in
table BSID but NOT in table BSIS.
So Billing document number can be displayed in customer line item
display (FBL5N) and not in G/L line item display (FBL3N). So, first
please check if field VBELN has been filled for the relevant G/L items.
The value of VBELN is saved in table BSEG. So, this means, you
have to define the field BSEG-VBELN as a special field in table
T021S. Then you can use it in FBL3N, because then the report looks
directly in BSEG-VBELN.
Please create the field BSEG-VBELN as special field
in transaction OBVU (FBL3N >MENU >SETTINGS >SPECIAL FIELDS);
Create a variant in FBL3N to include this field (FBL3N > SETTINGS >
DISPLAY VARIANT > CURRENT... Add the required fields
Follow the instruction as given in note 215798 which is very helpful.
Please also review note 373268 and note 207436. You don't have to
implement the coding corrections, if you are on a higher version. But
it explains in detail the system behaviour. The example in the note
with field EBELN could be replicated on your field VBELN.
Hope this helps.
BR,
Monika -
Error While Releasing the Billing Doc to Accounting.
Hi All,
When I am Releasing the Billing Document to Accounting the Value of JIN2 Condition Type is not getting released to Accounting. It is giving the Following Error.FI/CO Interface : Balance in Transaction Currency. I have all maintained the Account Determination. But Still I am facing the same problem.
Please suggest any Solution.
Thanks,
Prashant.Hi Prashant,
Please check the following function in transaction SE37
(here you could check if the functions enhancement is in any project and
also if the function is active): EXIT_SAPLV60B_001 - 011.
Using transaction CMOD you could take a look at user exits that are
active in your system. Please de-active projects in particular relating
to the billing process than check whether the error resists.
Also check to make sure that there is not an unused user exit active.
Regarding to use exits created data inconsistencies please find the
attached note:
160211 Usage of USER_EXIT creates data inconsistency
Please also find the note
48431 Unused user exit runs
how to check if a user exit is active.
The list of user exits with specifications please find in the following
note: 301077 User exits for the interface to accounting
If these notes are not helpful please check another possible cause of
error F5702. Sometimes this error is triggered when the net value is
changed in pricing (userexit, own routine or formula). Please check also this
possible reason.
Cheers,
Alex
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