Hello Marcela,
I don't know any restriction.
In my case the code is for only eliminate some data from LTAP and stop the processing.
Hello Marcela,
I don't know any restriction.
In my case the code is for only eliminate some data from LTAP and stop the processing.
Thanks dear Caetano...
I found this application more reachable for us in this moment as well as useful the rest of info contained into note referred by you.
Regards
OP
I have used the steps in the link **************** - Tips - Implementing screen exits for MM01/MM02/MM03 to add the custom field in the mm01/mm02/mm03 tcode. But the field is not been shown in mm03.
I have not written any PBO/PAI code nor the user exit part , yet as i just wanted to see if the field shows up in the display. I can see my added fields when i see "Simulate Logical Screen" in the SPRO while assigning the subscreen number and program name for 8th sequence. But in actual MM02/mm03 tcode , my custom fields are not been shown.
I have activated the function group and saved the settings in SPRO while assigning the program name and screen number.
Regards
SAP is big, where are you?
Hi Roland,
Actually my driver is a bit behind the times. I'll update just 'cause. But, I don't expect this will change anything. My hunch is that PB is not sending the command option so TFS is just doing as it is told.
Hello Experts,
Required your view on IS-OIL upstream JVA and PRA security solution.
These falls under Finance and Logistics but would be a great help if anyone has already worked on this and share his/her experience.
Regards,
Pawan Sharma
HI Dennis,
No I think you dont since this is still on the control
I want to remove it from the control
Here its in the control js code(the css)
onAfterRendering: function(oEvent) {
var $this = this.$();
$this.css('width', '20px');
$this.css('border-collapse', 'separate');
}, self._getListBox());
I need something like this but it doesnt work.
onAfterRendering: function(oEvent) {
}, self._getListBox().addStyleClass(myClass));
and my class in the css file should be
.myClass{
"width": "20px",
"border-collapse": "separate"
}
I want to remove the css code from my js file somehow.
Thanks,
Joerg
Dear Kamal,
Sorry by the delay in my answer.
I could not reverse the confirmations for activities via CO13 because the system send to me an error message telling me that there is no more stock, and then, if we reverse the stock again to storage, then we receive the error message telling us that the reverse is not possible due to QM has posted the inspection lot and so on.
Now, Co people has cancelled the order settlement in order to reverse the amounts ($) posted, but the order got back to be not = 0. So this will be a negative impact again.
Do you have any idea how to help us due this situation?
Regards and thanks in advance.
OP
Vicente para lo del costo, si no me equivoco puede tomar el campo
GrossBuyPr de la tabla OINV quee en este caso seria T0.GrossBuyPr
Hi,
I have created a characteristic called : CU_INCLUDED_COST, it has three possible values : Labor only, material only or labor and material.
I added the characteristic to a class and i assigned it to a Compatible Unit.
I try to select a value from the drop down list to assign to the compatible unit but i have a message and the value is not saved : "E: Inconsistent values inferred for characteristic Included cost"
Please advise.
Hi Navalidi
We have the same problem.
Did you find a solution ?
Regards
Bruno
Hi Frank,
What are you doing in the SP? Are you calling a different SELECT statement if @type is not 1?
If so this not supported and never has been. SP can only have one result set when used in CR designer.
So when writing your SP make sure the last SELECT statement has the data in it, other wise you will get nothing.
CR cannot handle multiple data structures in one SP, it saves the fields in the report and cannot be changed, if changed a Verify Database must be used to fix the report. And that will delete any fields that are no longer in the SELECT statement.
what does the rest of your SP look like?
Don
The challenge is that MCHB for the batch is NOT 0, whereas, it should be 0. We posted a good issue, that depleted the storage location stock, but did not update the MCHB table stock.
The solution we are looking for is to reconcile the material/ Plant/ Sloc ( MARD)stock should match Material/Plant/Sloc/Batch (Sum of all Batch stock).
Is there a standard report or Utility which you might have come across to remove this inconsistency.
Many Thanks
Can you please share the error message you got for XDIM_NULLCHECK?
Hi Don. I did not stop the logging. I counted the number of Finishing CQERowset::readNextRecord and there are exactly 2000 which is the number of records returned (should be around 2250 and MaxRowsetRecords is set to 10000). Are you talking about the IIS session timing out? Wouldn't I see some sort of error for that? Why would it cut off at exactly 2000 every time? How is Fiddler going to help? The HTML is generated on the server then sent to the browser. The issue is occurring before it is sent. Also, this works in IIS Express on my dev machine but not in production (Server 2008 R2).
Hello experts,
I have a "valid from" and a "valid to" field in one of my transactions. Using Personas, I was able to successfully set the current date on the valid from field (set current date MM/dd/yyyy for US format).
Now on the valid to field, I'm trying to get personas to automatically calculate current date + 90 days. For example, valid from = 11/20/2015. Valid to should be 02/13/2016 (current date + 90 days). I tried a few times using the examples from this link, but no luck.
http://stackoverflow.com/questions/3818193/how-to-add-number-of-days-to-todays-date
I also tried searching the scn forums but could not find anything.
Any suggestions?
Thanks,
Srini
I have already done this by looping ..but the client did't like this way... he asked for other solution on this without looping .... my question is the activity step which am looking for GR availability should check until GR is done and if the GR is not done till 10 Days then an escalation mail should send to agent.
The thumbnail 1,2,3,4 images are stored in sap.bi.launchpad.db.tables::BI_ITEM_DEFINITION under content column. All the metadata used (type of chart, x-axis, etc...) is stored in this table and during run time of Lumira Launchpad and when you open a story, Lumira gets this metadata and data from database and renders these charts on client side. It also stores last refreshed image into same column.
Without client side processing in recreating these charts , I dont believe to get these charts and display on your UI.
Thanks,
Naresh G
I thought you couldn't use material movements and a transaction like MB1B or MB1C? That's what you said originally! It's why I didn't suggest a 311 or 411 for doing that. Otherwise that might have been one of the first options I would have given you! :-)
Craig