Hi Hongjun_Qian. In the lates version of the SAP flow type initialization transaction the flow types are cleared if the account is not CM relevant. So no need to implement this code.
Hello:
¿Do you know if it is possible to maintain the same liquidity item from a forecasted item of TRM and apply it to the posted item with TBB1?
Regards,
Oleg.
Hi hongjun.qian,
Thank you for coming back to me with the previous topic. I'm still investigating it and will come back to you with the details.
At this moment I have a question about the Flow Builder Plus exit. What is the meaning of the field ite...
Great. Thanks. It has helped a lot. I thought that I was doing something wrong but it seems that the standard app only sets the flow types but not resets them
Hi, hongjun.qian
Do you know if it is technically possible to maintain the same liquidity item that we had in a forecasted item in TRM to the payment document posted by TBB1?
As we see, for a forecasted item, we derive the liquidity item by the "X"...