Hi experts, and happy new year !!!
I have a two part question around the topic of creating drill-down tools in BEX, using the sender/reciever assignment (RSBBS) functionality.
1) When I create a sender/reciever (RSBBS) with a Query as my sender, and using transaction code (GD13) as my reciever to jump back into the Special Ledger in R/3, the system correctly presents me with the selection screen for that transaction code in R/3.
However it has only populated 2 of the 4 fields on the selection screen, which were all populated in my workbook results prior to the jump.
For example only the fiscal year and company code fields are populated on the GD13 selection screen in R/3 from the original query results, BUT not the profit center and GL account. Even though on the workbook prior to the 'jump' into R/3, my profit center and GL accounts were populated just like the company code and fiscal year. Why is this happeneing????
2) RSBBS allows you to obviously to have a query as a sender and reciever to do drill down reporting into another cube. However, I don't see anywhere, where it allows you assign a specific "workbook" as a 'reciever' in the sender/reciever assignment (RSBBS). Is this capability available, and if so where and how??
Thank you all so much, and look forward to your great responses.
Edited by: Ehab Mansour on Jan 3, 2008 5:04 PM
Edited by: Ehab Mansour on Jan 3, 2008 5:05 PM