on ‎2016 Oct 21 5:54 AM
Hii,
I am trying to load transaction data from BW info provider. Job is successfully completed and data is uploaded to BPC system.
this is the field mapping for the conversion file,
ACCOUNT=0CHRT_ACCTS+*STR(_)+0CLIENT+*STR(_)+ZGL_ACCNT(5:10) AUDIT_TRAIL=*NEWCOL(INPUT_ADJ) CURRENCY=*NEWCOL(LC) ENTITY=*STR(C1_)+0COMP_CODE
FLOW=*IF(0BAL_FLAG=*STR(X) THEN *STR(F99); *STR(F10))
but after checking the balance i have found that figures were also updated in Flow F15

Can anyone tell , why the system is updating the same figure both in F99 and in F15
According the the transformation file if the Gl account is a balance sheet account , the balance should updated in F99 only.
Regards
Shihab
Request clarification before answering.
You must be a registered user to add a comment. If you've already registered, sign in. Otherwise, register and sign in.
Hi Shihab,
You have to analyse the reason behind this...since we dont have your system to check! Just based on transformation you wont get the answer why? Check the BW data, selections.....data cross section against which your checking. Is there any default logic running during the data load etc?
And you have tagged the question to a wrong community! It should be NW not MS!
Regards,
JP
You must be a registered user to add a comment. If you've already registered, sign in. Otherwise, register and sign in.
| User | Count |
|---|---|
| 7 | |
| 6 | |
| 4 | |
| 2 | |
| 2 | |
| 2 | |
| 2 | |
| 1 | |
| 1 | |
| 1 |
You must be a registered user to add a comment. If you've already registered, sign in. Otherwise, register and sign in.