<?xml version="1.0" encoding="UTF-8"?>
<rss xmlns:content="http://purl.org/rss/1.0/modules/content/" xmlns:dc="http://purl.org/dc/elements/1.1/" xmlns:rdf="http://www.w3.org/1999/02/22-rdf-syntax-ns#" xmlns:taxo="http://purl.org/rss/1.0/modules/taxonomy/" version="2.0">
  <channel>
    <title>topic I am using BAPI_AR_ACC_GETKEYDATEBALANCE in Application Development and Automation Discussions</title>
    <link>https://community.sap.com/t5/application-development-and-automation-discussions/i-am-using-bapi-ar-acc-getkeydatebalance/m-p/4519138#M1068468</link>
    <description>&lt;HTML&gt;&lt;HEAD&gt;&lt;/HEAD&gt;&lt;BODY&gt;&lt;P&gt;Hello expart ,&lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;I m using bapi BAPI_AR_ACC_GETKEYDATEBALANCE its gives o/p only one customer Security Deposit . my requirment is user puting custmor code 1 to 10 . it showing o/p different customer wise security deposite .&lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;call function 'BAPI_AR_ACC_GETKEYDATEBALANCE'&lt;/P&gt;&lt;P&gt;    exporting&lt;/P&gt;&lt;P&gt;      companycode        = 'PCL1'&lt;/P&gt;&lt;P&gt;      customer           = s_kunnr-low&lt;/P&gt;&lt;P&gt;      keydate            = t_date&lt;/P&gt;&lt;P&gt;      balancespgli       = 'H'&lt;/P&gt;&lt;UL&gt;&lt;LI level="1" type="ul"&gt;&lt;P&gt;  NOTEDITEMS         = ' '&lt;/P&gt;&lt;/LI&gt;&lt;LI level="1" type="ul"&gt;&lt;P&gt;IMPORTING&lt;/P&gt;&lt;/LI&gt;&lt;LI level="1" type="ul"&gt;&lt;P&gt;  RETURN             =&lt;/P&gt;&lt;/LI&gt;&lt;/UL&gt;&lt;P&gt;    tables&lt;/P&gt;&lt;P&gt;      keybalance         =  itab_temp.&lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;Plz tell me which bapi i m using for this requirment .&lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;i ll give point .&lt;/P&gt;&lt;/BODY&gt;&lt;/HTML&gt;</description>
    <pubDate>Mon, 06 Oct 2008 10:49:12 GMT</pubDate>
    <dc:creator>Former Member</dc:creator>
    <dc:date>2008-10-06T10:49:12Z</dc:date>
    <item>
      <title>I am using BAPI_AR_ACC_GETKEYDATEBALANCE</title>
      <link>https://community.sap.com/t5/application-development-and-automation-discussions/i-am-using-bapi-ar-acc-getkeydatebalance/m-p/4519138#M1068468</link>
      <description>&lt;HTML&gt;&lt;HEAD&gt;&lt;/HEAD&gt;&lt;BODY&gt;&lt;P&gt;Hello expart ,&lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;I m using bapi BAPI_AR_ACC_GETKEYDATEBALANCE its gives o/p only one customer Security Deposit . my requirment is user puting custmor code 1 to 10 . it showing o/p different customer wise security deposite .&lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;call function 'BAPI_AR_ACC_GETKEYDATEBALANCE'&lt;/P&gt;&lt;P&gt;    exporting&lt;/P&gt;&lt;P&gt;      companycode        = 'PCL1'&lt;/P&gt;&lt;P&gt;      customer           = s_kunnr-low&lt;/P&gt;&lt;P&gt;      keydate            = t_date&lt;/P&gt;&lt;P&gt;      balancespgli       = 'H'&lt;/P&gt;&lt;UL&gt;&lt;LI level="1" type="ul"&gt;&lt;P&gt;  NOTEDITEMS         = ' '&lt;/P&gt;&lt;/LI&gt;&lt;LI level="1" type="ul"&gt;&lt;P&gt;IMPORTING&lt;/P&gt;&lt;/LI&gt;&lt;LI level="1" type="ul"&gt;&lt;P&gt;  RETURN             =&lt;/P&gt;&lt;/LI&gt;&lt;/UL&gt;&lt;P&gt;    tables&lt;/P&gt;&lt;P&gt;      keybalance         =  itab_temp.&lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;Plz tell me which bapi i m using for this requirment .&lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;i ll give point .&lt;/P&gt;&lt;/BODY&gt;&lt;/HTML&gt;</description>
      <pubDate>Mon, 06 Oct 2008 10:49:12 GMT</pubDate>
      <guid>https://community.sap.com/t5/application-development-and-automation-discussions/i-am-using-bapi-ar-acc-getkeydatebalance/m-p/4519138#M1068468</guid>
      <dc:creator>Former Member</dc:creator>
      <dc:date>2008-10-06T10:49:12Z</dc:date>
    </item>
    <item>
      <title>Re: I am using BAPI_AR_ACC_GETKEYDATEBALANCE</title>
      <link>https://community.sap.com/t5/application-development-and-automation-discussions/i-am-using-bapi-ar-acc-getkeydatebalance/m-p/4519139#M1068469</link>
      <description>&lt;HTML&gt;&lt;HEAD&gt;&lt;/HEAD&gt;&lt;BODY&gt;&lt;P&gt;hi..&lt;/P&gt;&lt;P&gt;First fetch all the required customers with company code in one internal table.eg: itab1.&lt;/P&gt;&lt;P&gt;Now use LOOP AT stmt and inside the loop, call this BAPI.&lt;/P&gt;&lt;P&gt;as,&lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;PRE&gt;&lt;CODE&gt;** For Bapi data.
DATA : gt_bapi3007_3 TYPE TABLE OF bapi3007_3.

** loop it, to calculate for more than one customer
Loop at itab1 into wa.

CALL FUNCTION 'BAPI_AR_ACC_GETKEYDATEBALANCE'
        EXPORTING
          companycode        = wa_itab1-bukrs
          customer           = wa_itab1-kunnr
          keydate            = s_budat-low
*   BALANCESPGLI       = ' '
*   NOTEDITEMS         = ' '
* IMPORTING
*   RETURN             =
        TABLES
          keybalance         = gt_bapi3007_3.

endloop.&lt;/CODE&gt;&lt;/PRE&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;regards,&lt;/P&gt;&lt;P&gt;Padma&lt;/P&gt;&lt;/BODY&gt;&lt;/HTML&gt;</description>
      <pubDate>Mon, 06 Oct 2008 11:00:53 GMT</pubDate>
      <guid>https://community.sap.com/t5/application-development-and-automation-discussions/i-am-using-bapi-ar-acc-getkeydatebalance/m-p/4519139#M1068469</guid>
      <dc:creator>Former Member</dc:creator>
      <dc:date>2008-10-06T11:00:53Z</dc:date>
    </item>
  </channel>
</rss>

