What is the differences between FD33 and FBL5N?
The open items amount in FD33 receivables amount and FBL5N do not match.
- The user first executes FD33 for the customer credit control area. Later verifies the amount which is stored in the receivables field;
- User executes the FBL5N meant for the customer for checking the total open items, and then compares this value with the one stored in FD33.
This disparity occurs primarily due to: