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Vendor Line Items Locate this document in the navigation structure

DataSource Transactional Data DataSource Transactional Data: 0FI_AP_30

 

This DataSource provides vendor line items (tables BSIK (open items) and BSAK (cleared items) of subledger accounting.

Technical Data

Application Component

Financial Accounting: Vendors (FI-AP)

Available as of Release

SAP enhancement package 3 for SAP ERP 6.0, business function Reporting Financials (FIN_REP_SIMPL_1)

Shipment

SAP NetWeaver 7.0 BI Content Add-On 3 Support Package 08

Content Versions

603

RemoteCube-Capable

Yes

Delta-Capable

Yes

Extraction from Archives

No

Verifiable

No

Data Modeling

Delta Update

After Images via delta queue (for example, FI-AP/AR)

Fields of Origin for the Extract Structure

Fields in the Extract Structure

Description of the Field in the Extract Structure

Table of Origin

Field in the Table of Origin

BUKRS Company code BSIK, BSAK BUKRS
FISCPER Fiscal year/period BSIK, BSAK GJAHR / MONAT
BELNR Accounting document number BSIK, BSAK BELNR
BUZEI Number of the line item within the accounting document BSIK, BSAK BUZEI
UPOSZ Subitem number - = 0001
STATUSPS Status of FI item BSIK, BSAK BSTAT, AUGDT
LIFNR Account number of vendor BSIK, BSAK LIFNR
KKBER Credit control area BSIK, BSAK, T001 BSIK-KKBER, BSAK-KKBER, T001-KKBER
MABER Dunning area BSIK, BSAK MABER
KOART Account type - = K
UMSKZ Special G/L indicator BSIK, BSAK UMSKZ
BLART Document type BSIK, BSAK BLART
BSCHL Posting key BSIK, BSAK BSCHL
FISCVAR Fiscal year variant T001 PERIV
BLDAT Document date in document BSIK, BSAK BLDAT
BUDAT Posting date in document BSIK, BSAK BUDAT
CPUDT Entry date of the accounting document BSIK, BSAK CPUDT
AUGDT Clearing date BSIK, BSAK AUGDT
MADAT Date of last dunning notice BSIK, BSAK MADAT
NETDT Net due date BSIK, BSAK
SK1DT Due date according to cash discount terms 1 BSIK, BSAK
SK2DT Due date according to cash discount terms 2 BSIK, BSAK
ZFBDT Baseline date for due date calculation BSIK, BSAK ZFBDT
ZBD1T Cash discount days 1 BSIK, BSAK ZBD1T
ZBD2T Cash discount days 2 BSIK, BSAK ZBD2T
ZBD3T Deadline for terms of payment net BSIK, BSAK ZBD3T
ZBD1P Cash discount percentage 1 BSIK, BSAK ZBD1P
ZBD2P Cash discount percentage 2 BSIK, BSAK ZBD2P
LAND1 Country key T001 LAND1
ZLSCH Payment method BSIK, BSAK ZLSCH
ZTERM Terms of payment key BSIK, BSAK ZTERM
ZLSPR Payment lock key BSIK, BSAK ZLSPR
RSTGR Reason code for payments BSIK, BSAK RSTGR
MANSP Dunning lock BSIK, BSAK MANSP
MSCHL Dunning key BSIK, BSAK MSCHL
MANST Dunning level BSIK, BSAK MANST
LCURR Currency key of the local currency T001 WAERS
DMSOL Debit amount in local currency BSIK, BSAK SHKZG, DMBTR
DMHAB Credit amount in local currency BSIK, BSAK SHKZG, DMBTR
DMSHB Amount in local currency with +/- sign BSIK, BSAK SHKZG, DMBTR
SKNTO Cash discount amount in local currency BSIK, BSAK SKNTO
WAERS Currency key BSIK, BSAK WAERS
WRSOL Debit amount in document currency BSIK, BSAK SHKZG, WRBTR
WRHAB Credit amount in document currency BSIK, BSAK SHKZG, WRBTR
WRSHB Foreign currency amount (+/-) BSIK, BSAK SHKZG, WRBTR
SKFBT Amount eligible for cash discount in document currency BSIK, BSAK SKFBT
WSKTO Cash discount amount in document currency BSIK, BSAK WSKTO
KTOPL Chart of accounts T001 KTOPL
HKONT G/L account in General Ledger Accounting BSIK, BSAK HKONT
SAKNR G/L account number BSIK, BSAK SAKNR
FILKD Branch account number BSIK, BSAK FILKD
AUGBL Clearing document number BSIK, BSAK AUGBL
XBLNR Reference document number BSIK, BSAK XBLNR
REBZG Document number of the invoice to which the transaction belongs BSIK, BSAK REBZG
REBZJ Fiscal year of corresponding invoice (for credit memo) BSIK, BSAK REBZJ
REBZZ Posting item in the relevant invoice BSIK, BSAK REBZZ
VBELN Sales document number
XREF1 Reference key of the business partner BSIK, BSAK XREF1
XREF2 Reference key of the business partner BSIK, BSAK XREF2
XREF3 Reference key for the document items BSIK, BSAK XREF3
SGTXT Item text BSIK, BSAK SGTXT
XNEGP Indicator: Negative posting BSIK, BSAK XNEGP
XARCH Indicator: Amount already in archive? BSIK, BSAK XARCH
UMSKS Transaction class special general ledger BSIK, BSAK UMSKS
UPDMOD BW delta procedure: Record mode - -
ZUONR Assignment number BSIK, BSAK ZUONR
AWTYP Reference transaction
AWKEY Reference key
BSTAT Document status BSIK, BSAK BSTAT
DMBTR Amount in local currency BSIK, BSAK DMBTR
DMBE2 Amount in second local currency BSIK, BSAK DMBE2
DMBE3 Amount in third local currency BSIK, BSAK DMBE3
GJAHR Fiscal year BSIK, BSAK GJAHR
HWAE2 Currency key of the second local currency
HWAE3 Currency key of the third local currency
MONAT Fiscal period BSIK, BSAK MONAT
PROJK WBS elements BSIK, BSAK PROJK
SHKZG Debit/credit indicator BSIK, BSAK SHKZG
WRBTR Amount in document currency BSIK, BSAK WRBTR
Extractor Logic

Information on the “Field in the Table of Origin”:

*¹: The extract structure fields for the due date for net payment (NETDT, SK1DT, SK2DT) are mapped using the function module DETERMINE_DUE_DATE from the fields ZFBDT, ZBD1T, ZBD2T, ZBD3T, BLDAT, KOART, REBZG, REBZT, SHKZG of the tables BSIK and BSAK.

For more information, see section “Features of Extractor” in the documentation for the DataSource Vendors: Line items (0FI_AP_4).