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How do I summarize a column using specific logic in designer

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**** Need to delete this thread because the topic was supposed to be for Director not Designer

At year end we process all the individuals that donate money to the university on a monthly basis and process one individual tax receipt for each ConstituentID.

The file comes across in detail with 30+ fields in file.
There is an entry in the file for every time each person donates throughout the year.
The file comes across sorted by last name, first name, Gift date.

All the donations each individual sent for last 12 months is in the file.

From this file we do the following
1) Generate a consolidated income tax receipt by ConstituentId summarizing the total donation on each tax receipt. This was easy to do because I split the file by ConstituentId then generated a summary receipt. I have a detail line in the Designer project which I hide which calculates the consolidated total for each ConstituentId.

2) Generate an audit file which produces a single line to indicate each constituent we generated a receipt for with following summary information on the audit report
ConstituentId, Name, Amount, Date, Receipt#, ReceiptType

How can I take this detailed file which has about 30+ fields in it, ordered by LastName, FirstName then GiftDate then generate an audit report to summarize the Gift Amount by ConstituentId.
I do not see a way to do this. The CSV file that is sent to me has a Historical Summary on each detail line for the client but there is a bug in the software that generates this column so the summary is not always correct.

From this CSV file they send me I generate a PDF file to be published to a folder so we can save it electronically.
I take this CSV file then split by ConstituentID so I can generate each individual tax receipt.
When I split by ConstituentId I also generate an audit line of 6 fields from above that I append to a work audit file.
Once I am done slitting the file I then generate my audit report by processing the work audit file.

My question is how would I take each ReceiptAmnt for a ConstituentId and summarize the amount within Director script. Right now I am using that Historical Summary column which is not correct.
Please look at the pictorial diagram showing my director script which I attached.

I know I have the print twice. I did that so I can print the whole file without splitting then the individual receipts so I can print just one individual receipt while testing. It is during the split process that I generate my audit report CSV row then append it to my work audit file. I also write audit file to a temporary directory so I can look at it. Last step in my process is to delete the audit file where I write all my audit processes.
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How do I summarize a column using specific logic in Director

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At year end we process all the individuals that donate money to the university on a monthly basis and process one individual tax receipt for each ConstituentID.

The file comes across in detail with 30+ fields in file.
There is an entry in the file for every time each person donates throughout the year.
The file comes across sorted by last name, first name, Gift date.

All the donations each individual sent for last 12 months is in the file.

From this file we do the following
1) Generate a consolidated income tax receipt by ConstituentId summarizing the total donation on each tax receipt. This was easy to do because I split the file by ConstituentId then generated a summary receipt. I have a detail line in the Designer project which I hide which calculates the consolidated total for each ConstituentId.

2) Generate an audit file which produces a single line to indicate each constituent we generated a receipt for with following summary information on the audit report
ConstituentId, Name, Amount, Date, Receipt#, ReceiptType

How can I take this detailed file which has about 30+ fields in it, ordered by LastName, FirstName then GiftDate then generate an audit report to summarize the Gift Amount by ConstituentId.
I do not see a way to do this. The CSV file that is sent to me has a Historical Summary on each detail line for the client but there is a bug in the software that generates this column so the summary is not always correct.

From this CSV file they send me I generate a PDF file to be published to a folder so we can save it electronically.
I take this CSV file then split by ConstituentID so I can generate each individual tax receipt.
When I split by ConstituentId I also generate an audit line of 6 fields from above that I append to a work audit file.
Once I am done slitting the file I then generate my audit report by processing the work audit file.

My question is how would I take each ReceiptAmnt for a ConstituentId and summarize the amount within Director script. Right now I am using that Historical Summary column which is not correct.
Please look at the pictorial diagram showing my director script which I attached.

I know I have the print twice. I did that so I can print the whole file without splitting then the individual receipts so I can print just one individual receipt while testing. It is during the split process that I generate my audit report CSV row then append it to my work audit file. I also write audit file to a temporary directory so I can look at it. Last step in my process is to delete the audit file where I write all my audit processes.
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Cash Application: Negative RI creating RB

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Another 9.2 issue

We use the R03B551/R03B50 to apply both ACH and Lockbox receipts.

We just got RM's and negative RI's working on 9.2 (Note, they now have to be ran together unlike in 9.2)

Today, we had 3 negative RI's create RB's for the same customer. This is the first time it has happened in the month since we got it working.

This is the first place I have worked at that uses negative RI's. Is there anything on the Customer or System setups that I should be looking for?

Thank in advance

Batch Version Row Exit not showing Data Sel. or Data Seq.

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We are on E1 9.0, tools 9.1.4.7

We have three environments, DEV, QA, and PROD. In both DEV and PROD, when I sign into a web session, I can go into batch versions for any of our reports/versions and the row exits show Processing Options, Data Selection, Data Sequencing, and Version Detail.

However, when I sign into the QA environment, I only see Processing Options and Version Detail as row exits in Batch Versions. I've reviewed all of the security setup and cannot find what controls the availability of those data selection and data sequencing row exits.

Any thoughts as to what controls this and how to enable these options would be appreciated.

List View

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Hi Lists,

Can someone explain or experience the benefits of List View ? I do not see Pros the List View against Table View and like to know if what I am missing. Thanks lot !

Regards,

Manufacturing Configuration List

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Hi folks

Does anyone have an excel sheet/word document which shows how they recorded changes made to config (print screens, notes etc)

I'm struggling with getting a good document layout going to show changes from standard out of the box versions so would be interested to see what people have done before

Thanks

Cancel partially received Purchase Order line

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JDE allows to cancel partillay received Purchase Order line. So if an order line has been cancelled after it is received partially, the line status changes to 980 - 999 (cancelled) and there is no indication about the partially received amount in the Order detail form. There is a field "Amount Received" in the file F4311 which shows the amount received, but it is not displayed in the Order Detail form. So please let me know, if there is any solution for the following ,
1. How to display the Amount Received in order details form.
2. Is there any way to stop cancellation of partially received order line.

P98780H - Working With Repository History !!!

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Do you want to know about the cool P98780H feature ? then watch our latest video.

When you perform and action on an object through OMW or when package build creates a modification, OMW will create history records. You can export different versions of objects to restore and compare using ER Compare. You use the Work with Repository History (P98780H) application to manage the object history records. You can track the history of the following objects:

  • Business Function
  • Table
  • Business View
  • Batch Application
  • Interactive Application
  • User Defined Objects


YouTube : Click Here

BIP gives a blank first page.

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Hi I'm quite new to BIP. I have a strange problem. When I have one page report this BIP works fine, but when my report runs to a second page I get a blank first page and then comes page2 and page3. I checked the XML and it has no blank section and also no blank line in my rtf template Would some one please be able to help me. Thank in Advance. please find attached my BIP template and XML.
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ESU inconsistencies

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Hi folks,

We are currently engaging in taking ESUs for Polish localisation. I've identified 3 objects that will require retrofitting.

Sadly other ESUs we've taken are not in all our environments. DV900 has been heavily loaded with ESUs (800+) that due to testing requirements have never left DV900.
So as a result 2 of those 3 objects are now also affected in DV900 by the extra ESUs. (the code is different ion DV900 than PD900)

How do I best get around this? As pushing all 800 ESUs up along with the Polish ESUs is not feasible with the time constraints we have.

My suggestion is to take the 2 affected objects down from PD900, check in. Apply the Polish ESUs and retro fit.

Would this work?

Thanks

John

Sd od with inventory interface on

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Hello All,

i have a requirement where I want to create aback to back order based on the sales order created. I will always order this product from the supplier. I technically own the stock during the intransit period as the supplier has to be paid ex works but the customer will pay only on delivery. We also want to have a direct link between the sales order and the purchase order. All E1 documentation says is we don't have to ship confirm and it is never in inventory. Technically it is like a SD OD order with inventory interface on

I can also manage the situation if I could do this from a financial accounting side. I mean if I could have this in an intransit account when I receive the PO and will invoice it on prof of delivery.

Any help appreciated.

Regards
tvj

BIP Output Repository Table Relationship for Bursted Output (F95630, F95631)

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It is pretty easy to determine the relationship between F95630 and F95631 for a single BIP output. I.e there is one data xml record in F95630 and one report output (pdf, rtf, etc.) record in F95631.

However, for a BIP bursted report I am failing to see the relationship between a specific data xml record in F95630 to the resulting output report record in F95631 for a given job. Is there some way to relate these two records?

Get next Unique ID for Mfg - failing

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Hi,
I have this ube which inserts a record in F3111 and of course its not by business function, just by plain Insert statement.
So i am trying to get unique id to insert record as F3111.UKID is the primary key by using function B3100490 GetnextUnqueIdforMFG.
the function failed to return ukid, on futher debugging, the debug log says, update to F00022 failed. Not sure why update to F00022 would fail, as the parameters to be passed are object name = F3111 and variable UKID.
This is done in jde 9.2 version which we updated 10 months ago.

However i have another ube which uses the same function and works wonderfully. no issues at all, only glitch, it was developed in 9.1.

i am not able to understand the issue. any insight will be really helpful.

Thanks,

JDE 9.2
Window Platform
SQL database

Stanadalone 9.20 install help

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Hi Friends,

I get the attached error while installing DB Engine.
I installed JDE 108, Web Logic 12.1.3.0.0, DB Client ( 12c) and next step to install DB Engine couldn't succeed.

Appreciate your help! Thanks in advance!!
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Bulk Upload UoM Conversion

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Is there any way to bulk upload UoM Conversion info ?

help with the application load

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Hello!


I need help with the application load.
I corrected the event rules for the application buttons.
Then registed the application in DV.
I try to unload the application locally on the user's machine from DV.
How to do it right? (Various roles).

Appending to two seperate files with two different JTT - getting a mix

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A have a director script attached.
It has a file with USD transactions..
It has CDN transactions..
It has GiftInKind transactions.

I need to split the file into the separate groupings then create one audit file for all the groupings.
Need to split detail by: CDN < 1000; CDN >= 1000; USD < 1000; USD > 1000; GiftInKind
Have one audit file.

For some reason when I write to my audit file with JTT it mixes audit file records with detail record information.

For some reason when I write to my 5 different Detail JTT groupings it writes the detail record followed by a second blank line. Not sure why.

How do I correct these two issues.

I attached a pictorial of my Director script, my JTT for the record that gets written to the Detail folder, and the JTT that gets written for the audit record folder.

The Detail data has a first column that supplies titles. When I write out the different detail groupings I only want to write out the title once in the detail files for each of the different groupings.

Client wants me to print the receipts for the different groupings and also keep e-copy of printed receipts.

oneview report sharing

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Hello there
Just wondering how is your experience with oneview report? is it good for dashboards?

We never used it but heard Oracle keep improving in this area and wondering for oneview reports users need to login in JDE or anyone have other method to share oneview reports with team?


Thought please

Upload A/P, A/R, FA Opening Balances using Z Files.

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From my research, I have found the below applications can be used to upload vouchers, invoices, and fixed asset master records.

P0411Z1 - Batch Voucher Revisions
P03B11Z1 - Batch Invoice Revisions
P1201Z1 - Inbound Asset Master/Eq Tag Inquiry. For asset balance upload - Update F1202 directly.

Is there any other Z applications to upload only supplier, customer balances ? We don't want to upload vouchers or invoices, we just want to upload the balances for each supplier or customer.

JD Edwards Role and Menu Relationship

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Hi everbody,

How can i match role and menu? i can create rol yess but i want to assign menu to role. can u help me?
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