05-25-2009 4:07 PM
Hello Everybody,
its me again.
does anybody know the foreign currency valuation in FI-CA (not the one in FI Classic)?
Does anybody know, if there is a possibility to fill the "trading partner" field in the created documents?
The created postings have no reference to the contract account --> the "trading partner" isn´t autonmatically filled.
Is there a possibiliy to do this with the help of an user exit (e.g.)?
Thx in advance
06-01-2009 4:09 PM
06-16-2009 8:27 AM
There is a customer include in structure FKK100.
Maybe i can expand this structure with the trading partner?
But how can this field be filled, when the structure is expanded?
I don´t find an exit or something else to fill this.
Can anybody support me?