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BAPI for posting accounting documents

abhishekjain
Participant
0 Kudos

Hi,

Can anyone please provide me with the BAPI to be used for GL postings with example.

5 REPLIES 5

Former Member
0 Kudos

Hi,

The commonly used BAPI for G/L posting is :

BAPI_ACC_DOCUMENT_POST

code

call BAPI-function in this system

CALL FUNCTION 'BAPI_ACC_DOCUMENT_POST'

EXPORTING

documentheader = documentheader

IMPORTING

obj_type = l_type

obj_key = l_key

obj_sys = l_sys

TABLES

accountgl = accountgl

accountpayable = accountpayable

currencyamount = currencyamount

accounttax = accounttax

extension1 = extension1

return = return.

[/code]

Hope this helps,

0 Kudos

Hi,

Cau you please let me know following things

1) Where to specify Posting Key

2) Is it necessary to fill Object key, Object type and Object system.

Former Member
0 Kudos

Hi,

Use the BAPI BAPI_ACC_DOCUMENT_POST for posting Documents.

Check the sample code related to posting.

REPORT acc_bapi_document .

selection-screen begin of block bl01 .

parameters:

check_l radiobutton group rb1,

check_a default 'X' radiobutton group rb1,

post radiobutton group rb1.

selection-screen uline.

parameters:

rev_c radiobutton group rb1,

rev_p radiobutton group rb1.

selection-screen uline.

parameters:

ref_key like bapiache01-obj_key default 'TEST000001BAPICALL',

dest like bdi_logsys-logsys default ' '.

selection-screen end of block bl01 .

data:

gd_documentheader like bapiache09,

gd_customercpd like bapiacpa09,

gd_fica_hd like bapiaccahd,

it_accountreceivable like table of bapiacar09 with header line,

it_accountgl like table of bapiacgl09 with header line,

it_accounttax like table of bapiactx09 with header line,

it_criteria like table of bapiackec9 with header line,

it_valuefield like table of bapiackev9 with header line,

it_currencyamount like table of bapiaccr09 with header line,

it_return like table of bapiret2 with header line,

it_receivers like table of bdi_logsys with header line,

it_fica_it like table of bapiaccait with header line,

it_accountpayable like table of bapiacap09 with header line,

it_paymentcard like table of bapiacpc09 with header line,

it_ext like table of bapiacextc with header line.

  • it_re LIKE TABLE OF bapiacre09 WITH HEADER LINE,

  • it_ext2 LIKE TABLE OF bapiparex WITH HEADER LINE.

perform fill_internal_tables.

if check_l = 'X'.

call function 'BAPI_ACC_DOCUMENT_CHECK'

destination dest

exporting

documentheader = gd_documentheader

customercpd = gd_customercpd

contractheader = gd_fica_hd

tables

accountgl = it_accountgl

accountreceivable = it_accountreceivable

accountpayable = it_accountpayable

accounttax = it_accounttax

  • currencyamount = it_currencyamount

criteria = it_criteria

valuefield = it_valuefield

extension1 = it_ext

return = it_return

paymentcard = it_paymentcard

contractitem = it_fica_it.

  • extension2 = it_ext2

  • realestate = it_re.

.

write: / 'Result of check lines:'. "#EC NOTEXT

perform show_messages.

endif.

if check_a = 'X'.

call function 'BAPI_ACC_DOCUMENT_CHECK'

destination dest

exporting

documentheader = gd_documentheader

customercpd = gd_customercpd

contractheader = gd_fica_hd

tables

accountgl = it_accountgl

accountreceivable = it_accountreceivable

accountpayable = it_accountpayable

accounttax = it_accounttax

currencyamount = it_currencyamount

criteria = it_criteria

valuefield = it_valuefield

extension1 = it_ext

return = it_return

paymentcard = it_paymentcard

contractitem = it_fica_it.

  • extension2 = it_ext2

  • realestate = it_re.

write: / 'Result of check all:'. "#EC NOTEXT

perform show_messages.

endif.

if post = 'X'.

data: l_type like gd_documentheader-obj_type,

l_key like gd_documentheader-obj_key,

l_sys like gd_documentheader-obj_sys.

if dest = space or

dest = gd_documentheader-obj_sys.

  • post synchron

call function 'BAPI_ACC_DOCUMENT_POST'

exporting

documentheader = gd_documentheader

customercpd = gd_customercpd

contractheader = gd_fica_hd

importing

obj_type = l_type

obj_key = l_key

obj_sys = l_sys

tables

accountgl = it_accountgl

accountreceivable = it_accountreceivable

accountpayable = it_accountpayable

accounttax = it_accounttax

currencyamount = it_currencyamount

criteria = it_criteria

valuefield = it_valuefield

extension1 = it_ext

return = it_return

paymentcard = it_paymentcard

contractitem = it_fica_it.

  • extension2 = it_ext2

  • realestate = it_re.

write: / 'Result of post:'. "#EC NOTEXT

perform show_messages.

else.

  • create Idoc

it_receivers-logsys = dest.

append it_receivers.

call function 'ALE_ACC_DOCUMENT_POST'

exporting

documentheader = gd_documentheader

customercpd = gd_customercpd

contractheader = gd_fica_hd

tables

accountgl = it_accountgl

accountreceivable = it_accountreceivable

accountpayable = it_accountpayable

accounttax = it_accounttax

currencyamount = it_currencyamount

criteria = it_criteria

valuefield = it_valuefield

extension1 = it_ext

paymentcard = it_paymentcard

contractitem = it_fica_it

  • extension2 = it_ext2

  • realestate = it_re

receivers = it_receivers

  • COMMUNICATION_DOCUMENTS =

  • APPLICATION_OBJECTS =

exceptions

error_creating_idocs = 1

others = 2 .

if sy-subrc = 0.

write: / 'IDoc created'. "#EC NOTEXT

else.

write: sy-msgid.

endif.

endif.

endif.

if rev_p = 'X' or rev_c = 'X'.

data: rev like bapiacrev,

rev_key like ref_key.

rev_key = ref_key.

rev_key(1) = 'R'.

rev-obj_type = gd_documentheader-obj_type.

rev-obj_key = rev_key.

rev-obj_sys = gd_documentheader-obj_sys.

rev-obj_key_r = ref_key.

if rev_c is initial.

if dest = space or

dest = gd_documentheader-obj_sys.

call function 'BAPI_ACC_DOCUMENT_REV_POST'

exporting

reversal = rev

bus_act = gd_documentheader-bus_act

tables

return = it_return.

else.

it_receivers-logsys = dest.

append it_receivers.

call function 'ALE_ACC_DOCUMENT_REV_POST'

exporting

reversal = rev

busact = gd_documentheader-bus_act

  • OBJ_TYPE = 'BUS6035'

  • SERIAL_ID = '0'

tables

receivers = it_receivers

  • COMMUNICATION_DOCUMENTS =

  • APPLICATION_OBJECTS =

exceptions

error_creating_idocs = 1

others = 2

.

if sy-subrc 0.

message id sy-msgid type sy-msgty number sy-msgno

with sy-msgv1 sy-msgv2 sy-msgv3 sy-msgv4.

else.

write: / 'IDoc created'. "#EC NOTEXT

endif.

endif.

else.

call function 'BAPI_ACC_DOCUMENT_REV_CHECK'

exporting

reversal = rev

bus_act = gd_documentheader-bus_act

tables

return = it_return.

endif.

write: / 'Result of Reversal Posting:'. "#EC NOTEXT

perform show_messages.

endif.

commit work.

----


  • Form fill_internal_tables

----


form fill_internal_tables.

perform fill_header.

perform fill_accountgl.

  • perform fill_accountar.

perform fill_accountap.

perform fill_accounttax.

perform fill_currencyamount.

  • perform fill_criteria.

  • perform fill_valuefield.

  • perform fill_re.

  • perform fill_cpd.

  • perform fill_contractitem.

  • perform fill_contractheader.

  • perform fill_paymentcard.

  • perform fill_extension.

endform. " fill_internal_tables

----


  • Form Show_messages

----


form show_messages.

if it_return[] is initial.

write: / 'no messages'.

else.

skip 1.

loop at it_return.

write: / it_return-type,

(2) it_return-id,

it_return-number,

(80) it_return-message,

  • IT_RETURN-LOG_NO

  • IT_RETURN-LOG_MSG_NO

it_return-message_v1,

  • IT_RETURN-MESSAGE_V2

  • IT_RETURN-MESSAGE_V3

  • IT_RETURN-MESSAGE_V4

(20) it_return-parameter,

(3) it_return-row,

it_return-field.

  • IT_RETURN-SYSTEM

endloop.

endif.

uline.

endform. " Show_messages

----


  • FORM fill_accountgl *

----


form fill_accountgl.

clear it_accountgl.

it_accountgl-itemno_acc = 2.

it_accountgl-gl_account = '0021510201'.

it_accountgl-item_text = 'BAPI Test G/L line item'. "#EC NOTEXT

it_accountgl-bus_area = '01'.

it_accountgl-profit_ctr = '0000010101'.

it_accountgl-comp_code = 'SLOC'.

append it_accountgl.

clear it_accountgl.

it_accountgl-itemno_acc = 3.

it_accountgl-gl_account = '0082000201'.

it_accountgl-item_text = 'BAPI Test G/L line item'. "#EC NOTEXT

it_accountgl-bus_area = '01'.

it_accountgl-profit_ctr = '0000010101'.

it_accountgl-comp_code = 'SLOC'.

it_accountgl-tax_code = 'A3'.

append it_accountgl.

clear it_accountgl.

it_accountgl-itemno_acc = 5.

it_accountgl-gl_account = '0021510201'.

it_accountgl-item_text = 'BAPI Test G/L line item'. "#EC NOTEXT

it_accountgl-bus_area = '01'.

it_accountgl-profit_ctr = '0000010301'.

it_accountgl-comp_code = 'SLOC'.

append it_accountgl.

clear it_accountgl.

it_accountgl-itemno_acc = 6.

it_accountgl-gl_account = '0082000201'.

it_accountgl-item_text = 'BAPI Test G/L line item'. "#EC NOTEXT

it_accountgl-bus_area = '01'.

it_accountgl-profit_ctr = '0000010301'.

it_accountgl-comp_code = 'SLOC'.

it_accountgl-tax_code = 'A3'.

append it_accountgl.

clear it_accountgl.

it_accountgl-itemno_acc = 7.

  • it_accountgl-itemno_acc = 8.

it_accountgl-gl_account = '0021510201'.

it_accountgl-item_text = 'BAPI Test G/L line item'. "#EC NOTEXT

it_accountgl-bus_area = '90'.

it_accountgl-profit_ctr = '0000900008'.

it_accountgl-comp_code = 'CORP'.

append it_accountgl.

clear it_accountgl.

it_accountgl-itemno_acc = 8.

  • it_accountgl-itemno_acc = 9.

it_accountgl-gl_account = '0082000201'.

it_accountgl-item_text = 'BAPI Test G/L line item'. "#EC NOTEXT

it_accountgl-bus_area = '90'.

it_accountgl-profit_ctr = '0000900008'.

it_accountgl-comp_code = 'CORP'.

  • it_accountgl-tax_code = 'A3'.

append it_accountgl.

endform. "fill_accountgl

----


  • FORM fill_header *

----


form fill_header.

  • CALL FUNCTION 'OWN_LOGICAL_SYSTEM_GET'

  • IMPORTING

  • own_logical_system = gd_documentheader-obj_sys.

  • OBJ_TYPE has to be replaced by customers object key (Y* or Z*)

  • gd_documentheader-obj_type = 'IDOC'.

  • gd_documentheader-obj_key = ref_key.

gd_documentheader-username = sy-uname.

gd_documentheader-header_txt = 'BAPI Test'. "#EC NOTEXT

  • gd_documentheader-obj_key_r =

  • GD_DOCUMENTHEADER-reason_rev =

gd_documentheader-comp_code = 'SLOC'.

  • GD_DOCUMENTHEADER-AC_DOC_NO =

gd_documentheader-fisc_year = sy-datum(4).

gd_documentheader-doc_date = sy-datum.

gd_documentheader-pstng_date = sy-datum.

  • GD_DOCUMENTHEADER-TRANS_DATE =

  • GD_DOCUMENTHEADER-VALUE_DATE =

  • GD_DOCUMENTHEADER-FIS_PERIOD =

gd_documentheader-doc_type = 'KR'.

gd_documentheader-ref_doc_no = 'xxxx'.

  • GD_DOCUMENTHEADER-COMPO_ACC =

gd_documentheader-bus_act = 'RFBU'.

endform. "fill_header

----


  • FORM fill_contractheader *

----


form fill_contractheader.

  • gd_fica_hd-doc_no =

  • gd_fica_hd-doc_type_ca =

  • gd_fica_hd-res_key =

  • gd_fica_hd-fikey =

  • gd_fica_hd-payment_form_ref =

endform. "fill_contractheader

----


  • FORM fill_cpd *

----


form fill_cpd.

  • gd_customercpd-name

  • gd_customercpd-name_2

  • gd_customercpd-name_3

  • gd_customercpd-name_4

  • gd_customercpd-postl_code

  • gd_customercpd-city

  • gd_customercpd-country

  • gd_customercpd-country_iso

  • gd_customercpd-street

  • gd_customercpd-po_box

  • gd_customercpd-pobx_pcd

  • gd_customercpd-pobk_curac

  • gd_customercpd-bank_acct

  • gd_customercpd-bank_no

  • gd_customercpd-bank_ctry

  • gd_customercpd-bank_ctry_iso

  • gd_customercpd-tax_no_1

  • gd_customercpd-tax_no_2

  • gd_customercpd-tax

  • gd_customercpd-equal_tax

  • gd_customercpd-region

  • gd_customercpd-ctrl_key

  • gd_customercpd-instr_key

  • gd_customercpd-dme_ind

  • gd_customercpd-langu_iso

endform. "fill_cpd

----


  • FORM fill_ar *

----


form fill_accountar.

  • CLEAR it_accountreceivable.

  • it_accountreceivable-itemno_acc =

  • it_accountreceivable-customer =

  • IT_ACCOUNTRECEIVABLE-REF_KEY_1 =

  • IT_ACCOUNTRECEIVABLE-REF_KEY_2 =

  • IT_ACCOUNTRECEIVABLE-REF_KEY_3 =

  • IT_ACCOUNTRECEIVABLE-PMNTTRMS =

  • IT_ACCOUNTRECEIVABLE-BLINE_DATE =

  • IT_ACCOUNTRECEIVABLE-DSCT_DAYS1 =

  • IT_ACCOUNTRECEIVABLE-DSCT_DAYS2 =

  • IT_ACCOUNTRECEIVABLE-NETTERMS =

  • IT_ACCOUNTRECEIVABLE-DSCT_PCT1 =

  • IT_ACCOUNTRECEIVABLE-DSCT_PCT2 =

  • IT_ACCOUNTRECEIVABLE-PYMT_METH =

  • IT_ACCOUNTRECEIVABLE-DUNN_KEY =

  • IT_ACCOUNTRECEIVABLE-DUNN_BLOCK =

  • IT_ACCOUNTRECEIVABLE-PMNT_BLOCK =

  • IT_ACCOUNTRECEIVABLE-VAT_REG_NO =

  • IT_ACCOUNTRECEIVABLE-ALLOC_NMBR =

  • it_accountreceivable-item_text =

  • IT_ACCOUNTRECEIVABLE-PARTNER_BK =

  • IT_ACCOUNTRECEIVABLE-GL_ACCOUNT =

  • it_accountreceivable-comp_code

  • it_accountreceivable-bus_area

  • it_accountreceivable-pmtmthsupl

  • it_accountreceivable-paymt_ref

  • it_accountreceivable-scbank_ind

  • it_accountreceivable-businessplace

  • it_accountreceivable-sectioncode

  • it_accountreceivable-branch

  • it_accountreceivable-pymt_cur

  • it_accountreceivable-pymt_cur_iso

  • it_accountreceivable-pymt_amt

  • it_accountreceivable-c_ctr_area

  • it_accountreceivable-bank_id

  • it_accountreceivable-supcountry

  • it_accountreceivable-supcountry_iso

  • it_accountreceivable-tax_code

  • it_accountreceivable-taxjurcode

  • it_accountreceivable-tax_date

  • it_accountreceivable-sp_gl_ind

  • it_accountreceivable-partner_guid = '1465464654'.

  • APPEND it_accountreceivable.

endform. "fill_accountar

----


  • FORM fill_ap *

----


form fill_accountap.

clear it_accountpayable.

it_accountpayable-itemno_acc = 1.

  • it_accountpayable-vendor_no = '0000060259'.

it_accountpayable-vendor_no = '0000060693'.

  • it_accountpayable-gl_account

  • it_accountpayable-ref_key_1

  • it_accountpayable-ref_key_2

  • it_accountpayable-ref_key_3

it_accountpayable-comp_code = 'SLOC'.

it_accountpayable-bus_area = '01'.

it_accountpayable-pmnttrms = 'A000'.

  • it_accountpayable-bline_date

  • it_accountpayable-dsct_days1

  • it_accountpayable-dsct_days2

  • it_accountpayable-netterms

  • it_accountpayable-dsct_pct1

  • it_accountpayable-dsct_pct2

  • it_accountpayable-pymt_meth

  • it_accountpayable-pmtmthsupl

  • it_accountpayable-pmnt_block

  • it_accountpayable-scbank_ind

  • it_accountpayable-supcountry

  • it_accountpayable-supcountry_iso

  • it_accountpayable-bllsrv_ind

  • it_accountpayable-alloc_nmbr

it_accountpayable-item_text = 'BAPI Test A/P line item'. "#EC NOTEXT

  • it_accountpayable-po_sub_no

  • it_accountpayable-po_checkdg

  • it_accountpayable-po_ref_no

  • it_accountpayable-w_tax_code

  • it_accountpayable-businessplace

  • it_accountpayable-sectioncode

  • it_accountpayable-instr1

  • it_accountpayable-instr2

  • it_accountpayable-instr3

  • it_accountpayable-instr4

  • it_accountpayable-branch

  • it_accountpayable-pymt_cur

  • it_accountpayable-pymt_amt

  • it_accountpayable-pymt_cur_iso

  • it_accountpayable-sp_gl_ind

append it_accountpayable.

endform. "fill_accountap

----


  • FORM fill_tax *

----


form fill_accounttax.

clear it_accounttax.

it_accounttax-itemno_acc = 4.

it_accounttax-gl_account = '0011361502'.

it_accounttax-tax_code = 'A3'.

it_accounttax-acct_key = 'VST'.

it_accounttax-cond_key = 'MWVS'.

  • it_accounttax-itemno_tax = 8.

append it_accounttax.

  • clear it_accounttax.

  • it_accounttax-itemno_acc = 7.

  • it_accounttax-gl_account = '0011361502'.

  • it_accounttax-tax_code = 'A3'.

  • it_accounttax-acct_key = 'VST'.

  • it_accounttax-COND_KEY = 'MWVS'.

  • append it_accounttax.

  • clear it_accounttax.

    • it_accounttax-itemno_acc = 10.

  • it_accounttax-itemno_acc = 9.

  • it_accounttax-gl_account = '0011361502'.

  • it_accounttax-tax_code = 'A3'.

  • it_accounttax-acct_key = 'VST'.

  • it_accounttax-cond_key = 'MWVS'.

    • it_accounttax-itemno_tax = 4.

  • append it_accounttax.

endform. "fill_accounttax

----


  • FORM fill_currencyamount *

----


form fill_currencyamount.

clear it_currencyamount.

it_currencyamount-itemno_acc = 1.

it_currencyamount-curr_type = '00'.

it_currencyamount-currency = 'MXN'.

it_currencyamount-amt_doccur = '-7408036.2'.

append it_currencyamount.

clear it_currencyamount.

it_currencyamount-itemno_acc = 2.

it_currencyamount-curr_type = '00'.

it_currencyamount-currency = 'MXN'.

it_currencyamount-amt_doccur = '5336472.00'.

append it_currencyamount.

clear it_currencyamount.

it_currencyamount-itemno_acc = 3.

it_currencyamount-curr_type = '00'.

it_currencyamount-currency = 'MXN'.

it_currencyamount-amt_doccur = '3840.00'.

append it_currencyamount.

clear it_currencyamount.

it_currencyamount-itemno_acc = 4.

it_currencyamount-curr_type = '00'.

it_currencyamount-currency = 'MXN'.

it_currencyamount-amt_base = '5548.00'.

it_currencyamount-amt_doccur = '832.2'.

  • it_currencyamount-amt_doccur = '576.00'.

  • it_currencyamount-amt_base = '3840.00'.

append it_currencyamount.

clear it_currencyamount.

it_currencyamount-itemno_acc = 5.

it_currencyamount-curr_type = '00'.

it_currencyamount-currency = 'MXN'.

it_currencyamount-amt_doccur = '2051279.00'.

append it_currencyamount.

clear it_currencyamount.

it_currencyamount-itemno_acc = 6.

it_currencyamount-curr_type = '00'.

it_currencyamount-currency = 'MXN'.

it_currencyamount-amt_doccur = '1690.00'.

append it_currencyamount.

  • clear it_currencyamount.

  • it_currencyamount-itemno_acc = 7.

  • it_currencyamount-curr_type = '00'.

  • it_currencyamount-currency = 'MXN'.

  • it_currencyamount-amt_base = '1690.00'.

  • it_currencyamount-amt_doccur = '253.5'.

  • append it_currencyamount.

clear it_currencyamount.

  • it_currencyamount-itemno_acc = 8.

it_currencyamount-itemno_acc = 7.

it_currencyamount-curr_type = '00'.

it_currencyamount-currency = 'MXN'.

it_currencyamount-amt_doccur = '13905.00'.

append it_currencyamount.

clear it_currencyamount.

  • it_currencyamount-itemno_acc = 9.

it_currencyamount-itemno_acc = 8.

it_currencyamount-curr_type = '00'.

it_currencyamount-currency = 'MXN'.

  • it_currencyamount-amt_base = '2.70'.

it_currencyamount-amt_doccur = '18.00'.

append it_currencyamount.

  • clear it_currencyamount.

    • it_currencyamount-itemno_acc = 10.

  • it_currencyamount-itemno_acc = 9.

  • it_currencyamount-curr_type = '00'.

  • it_currencyamount-currency = 'MXN'.

  • it_currencyamount-amt_doccur = '2.70'.

  • it_currencyamount-amt_base = '18.00'.

  • append it_currencyamount.

endform. "fill_currencyamount

----


  • FORM fill_criteria *

----


form fill_criteria.

  • CLEAR it_criteria.

  • it_criteria-itemno_acc = 2.

  • it_criteria-fieldname = 'BZIRK'.

  • it_criteria-character = '000001'.

  • append it_criteria.

endform. "fill_criteria

----


  • FORM fill_valuefield *

----


form fill_valuefield.

  • CLEAR it_valuefield.

  • it_valuefield-itemno_acc = 2.

  • it_valuefield-fieldname = 'VV010'.

  • it_valuefield-curr_type

  • it_valuefield-currency = 'EUR'.

  • it_valuefield-currency_iso

  • it_valuefield-amt_valcom

  • it_valuefield-base_uom

  • it_valuefield-base_uom_iso

  • it_valuefield-qua_valcom

  • append it_valuefield.

endform. "fill_valuefield

----


  • FORM fill_extension *

----


form fill_extension.

  • CLEAR it_ext.

  • it_ext-field1

  • it_ext-field2

  • it_ext-field3

  • it_ext-field4

  • APPEND it_ext.

  • DATA: ls_zzz TYPE ZZZ_ACCIT.

  • CLEAR it_ext2.

  • it_ext2-structure = 'ZZZ_ACCIT'.

  • ls_zzz-posnr = 2.

  • ls_zzz-awref_reb = '123654'.

  • ls_zzz-aworg_reb = '654654'.

  • ls_zzz-grant_nbr = '0022002'.

  • MOVE ls_zzz TO it_ext2-valuepart1.

  • APPEND it_ext2.

endform. "fill_extension

----


  • FORM fill_paymentcard *

----


form fill_paymentcard.

  • CLEAR it_paymentcard.

  • it_paymentcard-itemno_acc = 1.

  • it_paymentcard-cc_glaccount

  • it_paymentcard-cc_type

  • it_paymentcard-cc_number

  • it_paymentcard-cc_seq_no

  • it_paymentcard-cc_valid_f

  • it_paymentcard-cc_valid_t

  • it_paymentcard-cc_name

  • it_paymentcard-dataorigin

  • it_paymentcard-authamount = '100'.

  • it_paymentcard-currency = 'EUR'.

  • it_paymentcard-currency_iso

  • it_paymentcard-cc_autth_no

  • it_paymentcard-auth_refno

  • it_paymentcard-auth_date

  • it_paymentcard-auth_time

  • it_paymentcard-merchidcl

  • it_paymentcard-point_of_receipt

  • it_paymentcard-terminal

  • it_paymentcard-cctyp = '1'.

  • APPEND it_paymentcard.

endform. "fill_paymentcard

----


  • FORM fill_contractitem *

----


form fill_contractitem.

  • CLEAR it_fica_it.

  • it_fica_it-itemno_acc

  • it_fica_it-cont_acct

  • it_fica_it-main_trans

  • it_fica_it-sub_trans

  • it_fica_it-func_area

  • it_fica_it-fm_area

  • it_fica_it-cmmt_item

  • it_fica_it-funds_ctr

  • it_fica_it-fund

  • append it_fica_it.

endform. "fill_contractitem

&----


*& Form fill_re

&----


form fill_re .

  • CLEAR it_re.

  • it_re-itemno_acc =

  • it_re-business_entity =

  • it_re-building =

  • it_re-property =

  • it_re-rental_object =

  • it_re-serv_charge_key =

  • it_re-settlement_unit =

  • it_re-contract_no =

  • APPEND it_re.

*

endform. "fill_re

Please check these links

http://sap4.com/wiki/index.php?title=BAPI_ACC_DOCUMENT_POST

http://www.sapfans.com/forums/viewtopic.php?p=76232&sid=b6519d31b5097f49dc303d03b35eed43

http://sap.ittoolbox.com/groups/technical-functional/sap-dev/bapi_acc_document_post-622561

Regards,

Raj.

0 Kudos

Hi,

Posting key values must be coming from the TEXT file.

According to the values of Posting key, we need to populate the values into the corresponding structures (ACCOUNTGL / ACCOUNTRECEIVABLE / ACCOUNTPAYABLE / ACCOUNTTAX) in the BAPI.

When posting key is 40 or 50, populate the value into ACCOUNTGL.

When posting key is 01 or 11 or 09 or 19, populate the value into ACCOUNTAR.

Regards,

Raj.

0 Kudos

Hi,

Uisng BAPI "BAPI_ACC_DOCUMENT_POST"

1) how can a reversal date be updated

2) What is the significance of fields NEG_POSTNG in DOCUMENTHEADER

I want to use thia BAPI as replacement for transaction FBS1.