on 06-14-2007 3:47 PM
Hi,
In the business contents shipped with MDM Vendor and Customer repositories I noticed the following XSDs. I am wondering if someone can explain their purpose to me.
<b>Vendor Repository</b>
VendorCheckTablesAll_550.xsd
MDMLookupTables_550.xsd
BankCheckTable_550.xsd
Thanks,
Full marks will be given for answer.
Hi TS,
first of all: which Vendor repository version are you using? If you have not yet started with your scenarion, you shoukld think about upgrading to the latest Sp5 patch 1 Vendor because this one has a fully enabled MDMGX support for loading reference data from R/3!
Your questions:
<b>VendorCheckTablesAll_550.xsd</b> is used for the import of reference data from R/3. If you extract customizing data from R/3, you'll receive XML files. You must use this XSD to validate your Reference Data XML in Import Manager
<b>MDMLookupTables_550.xsd</b>
There are a few look up tables where SAP provides default customizing values within a delivered XML (check the business content package for vendors!). You must use this XSD to validate the delivered XMLs in Import Manager.
<b>BankCheckTable_550.xsd</b> is an additional XSD for validating Bank Data extracted by the bank customizing extractor (see note 830864) used during the import of the data in Import Manager.
BR Michael
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