Purpose When you post contract accounting documents, document item data isstored in two different database tables. One of the tables is used forgeneric contract accounting purposes, the other one is used to calculatecontract accounting balances. You use this report to check for anyinconsistency between the aggregated item amounts of the non-statisticaldocuments stored in these tables. Features The report enables you to display document data as one of the following:
- The number of documents with consistent and inconsistent aggregated item
amounts respectively
- A detailed list of non-statistical contract accounting documents
The detailed list includes the following:
- Aggregated document item amounts used for generic contract accounting
purposes
- Aggregated document item amounts used to update contract accounting data
- The difference between these two amounts
The detailed list also includes a status indicator with a traffic lighticon for each document. The meaning of the traffic light icons is asfollows:
- Green light: documents with consistent amounts
- Red light: documents with inconsistent amounts
Selection In the Data Selection> group box, enter the following data asrequired:
- Company code
- The business partner numbers
- The contract account numbers
- The document numbers
- The posting dates of contract account documents for which you want to
collect data In the Processing Options> group box, you can choose one of thefollowing:
- Error log
The report lists only documents for which there is inconsistency betweenthe aggregated document item amounts.
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