2014 Mar 14 10:19 AM
Hello all, we have set up the soamanager i.o. to integrate account manager and FS-business partner with the Bank Analyzer under Release 8.0 For the business partner this works fine. For master data of the current accounts we encounter the following problem:
We have configured the soamanager on the consumer side installing the consumer: BankAccountContractProcessingCurrentAccountContractEventOut On this side we would like to use message type: CurrentAccountContractFSCreatedBulkInformation_V3.
However the consumer (account management) provides CurrentAccountContractFSCreatedBulkInformation_V2 only, which is the xml-formate for Release BS 7.0.
Can anybody tell me, how to configure AM (consumer side), such that it provides the correct xml-formate for Release 8.0. For more information please refer to the document: IOA_technical_configuration_19. For further info on soamanager-config refer to the appendix.
Thanks, Sebastian Sachse
2014 Mar 31 2:02 PM
hi Sebastian
please refer to Katja Bornschein (katja.bornschein@sap.com) as the owner ot the IOA-Scenarios. She will give you the information needed. As far as I know '_V3' is used only in FSAPPL500 (Release 9.0, GA in November 2014)
BR, Ernst
2014 Mar 31 3:42 PM
Hi Ernst,thanks for your hint but on behalf of an OSS-Message, we got the AM-BA transmission of Account Master Data working. Appearently we didn't set the correct change pointer. It must be receiver-ID ACCV2 instead of ACCV1, but after this it works quite well.
Regards, Sebastian