Output for Foreign Currency Valuation, Regroup Receivables / Payables, has changed since CE2102 upgrade. ALV List output no longer used.
"Image/data in this KBA is from SAP internal systems, sample data, or demo systems. Any resemblance to real data is purely coincidental."
Reproducing the Issue
app Schedule General Ledger Jobs for one of following templates:
- Foreign Currency Valuation
- Regroup Receivables / Payables
Perform Further Valuations
Before ALV List layout was used.
Old ALV list example:
Header and Item information separately displayed
ALV Grid layout Used.
There is no information missing. All information is provided as in prior relases. It is only the display which is different.
In new ALV Grid layout:
- Details for selection screen parameters are printed separately
- Header and Item information are merged into one line.
FAGL_FCV, FOREIGN CURRENCY VALUATION, F1927, FAGL_CL_REGROUP, RFVALU00 SAPF107V, ALV grid, display, Perform Further Valuations, F107 , KBA , FI-GL-GL-G , Closing Operations / Period-End , FI-FIO-GL-TRA , Transaction Apps , Problem