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diffrence between user exit and customer exit

Former Member
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hi abaper can please tell me diffrence between user exit and customer exit

thanks in addvance

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Former Member
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Prasanna,

this topic has been discussed many times here try to search the threads before you post quesiton

any how

The R/3 enhancement concept allows you to add your own functionality to SAP’s standard business applications without having to modify the original applications. SAP creates customer exits for specific programs, screens, and menus within standard R/3 applications. These exits do not contain any functionality. Instead, the customer exits act as hooks. You can hang your own add-on functionality onto these hooks."

Customer exits are implemented in Z-includes and are ENHANCEMENTS to the system.

User-exits were firstly intended to be developed for the SD module. You make your coding in includes in SAP namespace (e.g MV*). That's why, user exits are MODIFICATIONS to the system. In includes for user exits there are empty subroutines ( generally with the name convention "userexit_...") and you code using global variables of the main program.

But, generally developers use these terms without this distinction. So, someone may mean a "customer exit" when (s)he says "user exit" or vice-versa.

Look at the below links for more info,

http://www.sap-img.com/abap/what-is-user-exits.htm

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Former Member
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user exit and customer exit

User Exit - needs to have access key

Customer Exit - no need to have access key

Many user exits available for in SD Module.

To find out customer exit - SMOD,SE81,MODACT,MODSAp Tables

Reward Points if it is helpful

Thanks

Seshu

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Former Member
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Refer

Regards,

Santosh

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Former Member
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hi,

User exit - A user exit is a three character code that instructs the system to access a program during system processing.

SXX: S is for standard exits that are delivered by SAP. XX represents the 2-digit exit number.

UXX: U is for user exits that are defined by the user. XX represents the 2-digit exit number

Customer exit - The R/3 enhancement concept allows you to add your own functionality to SAP’s standard business applications without having to modify the original applications. SAP creates customer exits for specific programs, screens, and menus within standard R/3 applications. These exits do not contain any functionality. Instead, the customer exits act as hooks. You can hang your own add-on functionality onto these hooks.

The program for transaction VA01 Create salesorder is SAPMV45A

If you search for CALL CUSTOMER-FUNCTION i program

SAPMV45A you will find ( Among other user exits):

CALL CUSTOMER-FUNCTION '003'

exporting

xvbak = vbak

xvbuk = vbuk

xkomk = tkomk

importing

lvf_subrc = lvf_subrc

tables

xvbfa = xvbfa

xvbap = xvbap

xvbup = xvbup.

The exit calls function module EXIT_SAPMV45A_003

Development

Creating a Project to include the enhancement

1. Go to transaction CMOD and create a project.

2. Enter a description for the project. Then, click on the pushbutton ‘Enhancement Assignments’ in the Application Toolbar.

3. Enter the name of the enhancement and Save.

4. Go to ‘Components’.

Creating Custom Include for ANLU

The screen shown below will appear, showing all the enhancement components under the assignment AIST0002. Double-click on the name of the Include Structure to create it.

Create the include structure with three new fields, as required. Then, save and activate it.

Develop the subscreen and the program

Go to transaction SE80. For the function group XAIS, create a new subscreen 9000.

Create it as subscreen.

Then, go to the Layout of the screen and create three new fields from Database table ANLU.

Drag the fields in the screen body and place them.

Then, save and activate the screen and come back to screen flow editor.

Create the PAI module to add validation for field “Location 2”, as required .

Activate the whole function group and come out.

Write code in the Function Exits to synchronize the programs

Now, code has to be written in the function modules EXIT_SAPLAIST_002 and EXIT_SAPLAIST_003 so that data flows to and fro between the main SAP program and custom subscreen program. For that, go back to transaction CMOD and change the function exits.

Write code in the function module EXIT_SAPLAIST_002 called once at the beginning of the transaction:

Write code in EXIT_SAPLAIST_003 to pass the data from the subscreen to SAP main program.

Then, activate everything – the whole project and come out.

Complete the configuration to link the subscreen

The development portion is complete. Now, linking of the subscreen has to be done with the subscreen area of the main program. In most of the cases, this linking can be done in the enhancement itself. But, here, requirement is a bit different. It is done by configuration using SPRO.

Assets are created under Asset class. And for each asset class, there is a layout assigned to it. For a layout, there are multiple tab pages assigned to it. And, for each tab page, there are multiple screen groups/field groups assigned.

Here, the requirement is to create these three custom fields in the tab page ‘General’ of asset master screen ( AS01/AS02/AS03/AS91).

Determine the Layout

To achieve this, first of all, we need to find out which layout is assigned to asset class 1000.For that, go to transaction AOLK( information has to be obtained from functional consultant).Select the Asset Class ‘1000’ and click on folder ‘General Assignment of Layout’.

Here, for Asset class 1000, for all the user groups, tab layout SAP is assigned. Since layout ‘SAP’ cannot be changed, it has to be copied and manipulated to include our screen group. Later, the new layout has to be assigned over here.

Create new tab layout

Go to transaction AOLA. Copy the tab layout ‘SAP’ to create another layout, say, YSUB.

System will copy all the settings and will inform you about that.

Select your newly created layout and double-click on the folder ‘Tab page titles’.

You want to put your custom fields in the tab page “General”. So, select this tab page entry and double-click on the folder "Position of Groups".

Here, all the field groups currently residing in the tab-page “General” are shown. Add an entry for your newly created fields.

Select the group box from the list. An entry will come with “U” padded with the custom subscreen prepared by you.

Then, save and come out.

Assign the new Layout to Asset Class

Now, go to tcode AOLK and assign tab layout YSUB for asset class 1000.

Save and come out.

Test the Exit

Everything is over. Now, go to transaction code AS01/02/03 or AS91 to deal with an asset of asset class 1000. You will see your new fields added to the screen. Add values to them…save. Then, enter into the tcodes again to see whether the values entered by you are being displayed or not.

regards