SAP ABAP Data Element JBAS (Aggregate on annual basis)
Hierarchy
BBPCRM (Software Component) BBPCRM
   SRM-EBP (Application Component) Enterprise Buyer
     BBP_APPLICATION (Package) Structure Package EBP
       ME (Package) Application development R/3 Purchasing
Basic Data
Data Element JBAS
Short Description Aggregate on annual basis  
Data Type
Category of Dictionary Type D   Domain
Type of Object Referenced     No Information
Domain / Name of Reference Type XFELD    
Data Type CHAR   Character String 
Length 1    
Decimal Places 0    
Output Length 1    
Value Table      
Further Characteristics
Search Help: Name    
Search Help: Parameters    
Parameter ID   
Default Component name    
Change document    
No Input History    
Basic direction is set to LTR    
No BIDI Filtering    
Field Label
  Length  Field Label  
Short 10 Annual 
Medium  
Long  
Heading  
Documentation

Definition

Aggregates on a yearly basis the lines of a delivery schedule for an item of a scheduling agreement that lie in the past and in respect of which delivery is complete.

Use

In the selected scheduling agreement items, the individual schedule lines for a certain year are aggregated to form a single line.

This aggregate schedule line shows the total scheduled and delivered quantities etc. for the year in question.

Open schedule lines are not aggregated.

Example

On 08.16.1999, a scheduling agreement with the following schedule lines is selected for aggregation on the basis of the criteria entered:

Date     Scheduled quantity

04.20.97    10 pc

09.19.97    10 pc

05.21.98    20 pc

05.29.98    20 pc

08.16.99    5 pc

After the aggregation process, the delivery schedule for the scheduling agreement contains the following lines:

Date     Sched. qty.     Creation indicator

09.19.97    20 pc    Y (Aggregation on annual basis)

05.29.98    40 pc    Y (Aggregation on annual basis)

16.08.99    5 pc    (Still-open scheduled quantity)

Supplementary Documentation - JBASZSREF 0001

Use

In market price weighting, the system is able to calculate the term by using the key reference interest rate. Further information, such as currency, is not taken into account here.

Dependencies

The interest rate used in market price weighting results from the combination of the display or transaction currency, and the term of the reference interest rate.

Example

Reference interest rate    Information used

EUR-3-year-M    Term 3 years

USD-3-year-A    Term 3 years

EUR-4-year-M    Term 4 years

History
Last changed by/on SAP  19991110 
SAP Release Created in