2012 Jan 04 4:54 PM
Hi, I am using the below code to create a vendor invoice, but I keep getting the error "FI/CO interface: Balance in transaction currency". Now the vendor and the compnay code are both setup as GBP, and the 2 lines I am posting are simply fro £10, so it all balances correctly. And if I enter the data manually in FB60 then everything works fine. I have searched the forums and the code seems to match everythign that I am seeing, so I am stuck as to what is causing the issue. Any help appreciated..
* fill the header
s_documentheader-comp_code = i_company_code.
s_documentheader-doc_date = i_invoice_date.
s_documentheader-pstng_date = i_invoice_date.
s_documentheader-ref_doc_no = i_invoice_ref.
s_documentheader-header_txt = i_text.
s_documentheader-username = sy-uname.
* added these columns
s_documentheader-doc_type = 'KR'.
s_documentheader-bus_act = 'RFBU'.
s_documentheader-obj_type = 'BKPFF'.
s_documentheader-obj_key = '$'.
s_documentheader-obj_sys = sy-mandt.
* retrieve GL account no
select single gl_account from zfi_post_accnts
into l_account
where post_type = 'RTI' and posting_key = '40'.
call function 'CONVERSION_EXIT_ALPHA_INPUT'
exporting
input = l_account
importing
output = l_account.
* format the vendor number
call function 'CONVERSION_EXIT_ALPHA_INPUT'
exporting
input = me->number
IMPORTING
OUTPUT = s_accountpayable-vendor_no.
* get the currency
select single waers from t001 into lv_currency
where bukrs = i_company_code.
**(1) Fill Venodor Line item
clear: s_accountreceivable, s_currencyamount.
s_accountpayable-itemno_acc = 1.
s_accountpayable-vendor_no = lv_vendor.
s_accountpayable-item_text = i_text.
s_accountpayable-comp_code = i_company_code.
* s_ACCOUNTPAYABLE-GL_ACCOUNT = l_account.
* s_accountpayable-PYMT_CUR = 'GBP'.
* s_accountpayable-PYMT_CUR_ISO = 'GBP'.
* s_accountpayable-PYMT_AMT = i_invoiced_amount.
append s_accountpayable to it_accountpayable.
*
s_currencyamount-itemno_acc = 1.
s_currencyamount-curr_type = '00'.
s_currencyamount-amt_doccur = i_invoiced_amount.
s_currencyamount-currency = lv_currency.
s_currencyamount-currency_iso = lv_currency.
append s_currencyamount to it_currencyamount.
**(2) Fill GL Account Line item.
s_accountgl-itemno_acc = 2.
s_accountgl-gl_account = l_account.
s_accountgl-item_text = i_text.
s_accountgl-comp_code = i_company_code.
* s_accountgl-profit_ctr =
append s_accountgl to it_accountgl.
*
s_currencyamount-itemno_acc = 2.
s_currencyamount-curr_type = '00'.
s_currencyamount-amt_doccur = i_invoiced_amount.
s_currencyamount-currency = lv_currency.
s_currencyamount-currency_iso = lv_currency.
append s_currencyamount to it_currencyamount.
call function 'BAPI_ACC_DOCUMENT_POST'
exporting
documentheader = s_documentheader
importing
obj_type = l_type
obj_key = l_key
obj_sys = l_sys
tables
accountgl = it_accountgl
* accountreceivable = it_accountreceivable
accountpayable = it_accountpayable
accounttax = it_accounttax
currencyamount = it_currencyamount
return = it_return
exceptions
others = 1.
2012 Jan 04 5:03 PM
Check if possible to pass amount with sign or there is field for debit or credit indicator is there.
Nabheet
Check if possible to pass amount with sign or there is field for debit or credit indicator is there.
Nabheet
2012 Jan 04 5:03 PM
Check if possible to pass amount with sign or there is field for debit or credit indicator is there.
Nabheet
2014 Sep 23 7:52 AM
thank for your suggestion ,really it's helped me...
regards,
Rajmurugan.R
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