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How to manage the status of custom tabs/fields in TRM

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All we know that with the help of GFTR_C0102 transaction we can manage the status of standard fields.

stdfield.jpg

But what about custom fields?

Actually it's all the same! But we need to make some configuration.

 

Precondition: you must know how to create custom tabs in Treasury and how to add custom fields on the tabs. Tabs and fields must be already created.

 

Status of custom tabs

1. Tr. GFTR_C0002 - check if everything is okey here, because field groups for custom tabs are already predefined and you don't have to change anything here - 0093 "Customer Enhancements: Tabstrip 1" and 0094 "Customer Enhancements: Tabstrip 2"

 

On the "Field Groups" level do not change anything

9394.jpg

93.jpg

94.jpg

Now let's assign Fields to Field Groups:

  • Field Group 93: VTG_OPEN_TRTM_DISPLAY-OPEN_TRTM_CUST_01
  • Field Group 94: VTG_OPEN_TRTM_DISPLAY-OPEN_TRTM_CUST_02

 

93field.jpg

94field.jpg

 

It's all. Now you can manage the status of custom tabs: Display or Hide.

set9394.jpg

 

Status of custom fields

 

1. Tr. GFTR_C0002 - let's create field groups for our custom fields and assign custom fields.

 

TIP1: We can set the status only for Group Field. It means you must group your custom fields in Group Field logically, technically. For example, fields like Amount and Currency are always together, so they must always be in the same Field Group.

 

TIP2: The range for customer field groups is between  600 (inclusive) and 799 (inclusive)

 

Let's create Field Group 601.

Enter description for your field group and Function module FTR_SUBSCR_FMOD2_EVENT

601.jpg

Now assign custom fields to Field group

You enter the same parameters as on your screen painter and don't forget to put checkmark in Input field.

screen.jpg

601assign.jpg

 

2. Tr. GFTR_C0003 - assign Field Group to View "CUST01".

view.jpg

Check parameters of the view

viewcheck.jpg

Assign Field Groups to view CUST01

viewfldgrp.jpg

 

3. Tr. GFTR_C0011 - Assign Screen parameters to Database parameters.

 

Parameters in Screen painter is Screen parameters

screen.jpg

Fields in the Database is Database parameters

table.jpg

We must match botch parameters - Screen and Database

screendatabase.jpg


And that's all. In transaction GFTR_C0102 you'll find new Field Groups. And you can manage the statuses of custom fields in your deals!

config.jpg

 

The instrument we used is BDT Business Data Toolset (not to be confused with DBT Derived business transaction). With BDT you can reconfigure you screens in different modules (the most usual is Business Partners management) - move fields from one tab to another, create custom tabs, etc

But in Treasury module this instrument is used only partially. If you want to get acquainted with the instument - read CR590 course "Business Data Toolset"


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