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F.30 balance update to match with FBL5N balance

Former Member
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Hi Grurz,

When I run F.30 Customer Evaluation program, customer balance is different then FBL5N report balance. Can you tell me what program I have to run so that customer evalution gets updated with correct balance.

Thanks in advance

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Answers (4)

Answers (4)

Former Member
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Thanks

Former Member
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Any more thoughts on this topic?

Former Member
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Hi

Setting for OBAN, OBAJ are already there, I don't know what program to run to update the balance. Tell me F.29 what program I have to set up to run every night to update the figures?

Many thanks

chandrasekharbadeti_chand
Active Contributor
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Hi

First check the below T Codes in Sandbox, donot test in PRD system or QAS system.

Have you checked the T Codes: FY01, OBAN, OBAJ and F.29.

Thanks

Chandra