------------------------------------------------------------------------ DEFINE &T042B-AFORN& = 'F110_D_AVIS' DEFINE &T042E-WFORN& = 'F110_IT_DTA' DEFINE &T042E-ZFORN& = ' '. DEFINE &T042E-ANZPO& = '2' DEFINE &T042E-XFOSP& = ' ' DEFINE &T042Z-PROGN& = 'RFFOIT_B' DEFINE &T042Z-ZLSTN& = 'LIST3S' DEFINE &T042Z-TXTSL& = '51' DEFINE &T042Z-XSCHK& = ' ' DEFINE &T042Z-XSWEC& = ' ' ------------------------------------------------------------------------Description The report creates files in Italian DME format for domestic banktransfers (S.E.T.I.F.) in accordance with the specification issued byS.I.A (Società Interbancaria per l'Automazione). In addition to the payment media, you can print the related paymentadvice notes, data medium accompanying sheets, and payment accompanyingsheets. Precondition INCLUDE 'FI_RFFO_CUSTOMIZING_F110 ' OBJECT DOKU ID TX PARAGRAPH U2 INCLUDE 'FI_RFFO_CUSTOMIZING_T042B ' OBJECT DOKU ID TX PARAGRAPH N1 INCLUDE 'FI_RFFO_CUSTOMIZING_T042Z ' OBJECT DOKU ID TX PARAGRAPH N1 INCLUDE 'FI_RFFO_CUSTOMIZING_T042E ' OBJECT DOKU ID TX PARAGRAPH N1 Hinweis: the entries for the issuer are to be filled as follows: Line 1,,Name 1 of the issuer Line 2,,Name 2 of the issuer Line 3,,Free Line 4,,Location. INCLUDE 'FI_RFFO_CUSTOMIZING_T012D ' OBJECT DOKU ID TX PARAGRAPH N1 Hinweis: you need to maintain the bank number of the data mediumreceiver if this differs from the bank number of the house bank. The five character company code> is maintained for the additionalentries for the company code. IF &DEVICE& EQ 'SCREEN'. Proceed> ENDIF. You need to enter the UIC code of countries with which you have tradingactivities in Customizing, by choosing Maintain UICCodes.> RESET N1 INCLUDE 'FI_RFFO_SAPSCRIPT_LAYOUT_SET' OBJECT DOKU ID TX PARAGRAPH U2 INCLUDE 'FI_RFFO_SAPSCRIPT_SYMBOLS ' OBJECT DOKU ID TX PARAGRAPH N1 INCLUDE 'FI_RFFO_SAPSCRIPT_ADVICE ' OBJECT DOKU ID TX PARAGRAPH N1 INCLUDE 'FI_RFFO_SAPSCRIPT_TRANSFER ' OBJECT DOKU ID TX PARAGRAPH N1 Structure of data medium-accompanying sheet> (&T042E-WFORN& in thestandard system) Pages DTA >Accompanying sheet LAST >Form summary section per house bank Windows and Elements INLAND 535 >Accompanying sheet for credit memos INLAND 540 >Accompanying sheet for debit memos SUMMARY 520 >Form summary section The texts> available in REGUD are used as follows: TEXT1,,Number of data records C TEXT2,,Total DM of data records C INCLUDE 'FI_RFFO_SAPSCRIPT_MAINTAIN ' OBJECT DOKU ID TX PARAGRAPH AS RESET N1 INCLUDE 'FI_RFFO_PAYMENT_RUN ' OBJECT DOKU ID TX PARAGRAPH U2Output INCLUDE 'FI_RFFO_OUTPUT_SPOOL ' OBJECT DOKU ID TX PARAGRAPH U2 INCLUDE 'FI_RFFO_OUTPUT_DME ' OBJECT DOKU ID TX PARAGRAPH U2 For more detailed information on the data medium structure, see theTechnical Description >. INCLUDE 'FI_RFFO_OUTPUT_DME_FILE ' OBJECT DOKU ID TX PARAGRAPH U3 INCLUDE 'FI_RFFO_OUTPUT_DME_TEMSE ' OBJECT DOKU ID TX PARAGRAPH U3 INCLUDE 'FI_RFFO_OUTPUT_ERRORMESSAGES' OBJECT DOKU ID TX PARAGRAPH U2 |