Advance Payment by Customer

Dear Guru's,
The client want to have advance payment in the billing document print out.
e. g. the customer will pay crtain % amt as a advance payment before creation of sales order. i.e if the order value is 1000 and the adance is 200 then the billing should be of 800 only.
We dont want to use down payment here.
Pl advise.
Regards,
Arunava Sahana

Hi,
    You can try the following method. You define a discount condition type with absolute vale and no access sequence to it and it should be manual and statistical(So we can aviod passing this value to accounting). Then user will use this value as advance payment and deduct this value from Gross and  it will be  the net value. Make the changes in the script aswell to get this printed along with the net value. Kindly please let me know If you need any more information on this.
Regards
Ram Pedarla

Similar Messages

  • Pop up in Sales order of Advance payment of Customer

    hi Gurus
    Actually i have a query that when i am going to create the sales order the systemshuold  pop up the dialouge box indicating the customers's advance payment if its exceeding that advance payment
    bcoz the customer pays in advance the money to the company for the the material which has he ordered
    so whats the setting for this
    Suitable answers will be rewarded
    Regards
    Amol gawai

    Dear Amol,
    I think your issue can be addressed by using Credit control area. Please do the following:
    a) Define a credit control area for the customer.
    b) Maintain credit limit as 1 Rupee T-code - FD32
    c) Whenever the customer gives you a advance payment the same shall be entered in the system thru FI route and using the while FI posting in "More Data" the relevant Credit control area should be entered.
    d) By doing the above the advance payment received from the customer shall be reflected as "Special Liability" in the Credit control area (FD33). Status Tab in FD32.
    e) Now this advance payment will act as the credit limit of the customer. So after this if the Sales order value exceeds this limit the Warning or Error message can be set.
    Hope the above works for you.
    REWARD if it helps you!!
    Regards,
    Ajinkya

  • Advance payments vender/customer

    pls send entries of advance payment down payments & advance received from custemors my id is [email protected]

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  • Creation of DPR for advance payment to be made to customer

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    Whether this is possible ?
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    I want to make Loan Payment / Shares Application Money Payment from Parent Company to Subsidiary Company. Treating subsidiary copmany as customer.
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  • Customer Advance Payment

    I have a business scenario and I don't know the best way to implement it.
    My client receives an order and creates a Sales Order. The customer has to make the advance payment. Once the payment is made, outbound delivery is made and goods are issued. It so happens that during the stock transfer, sometimes goods delivered are (marginally) less than the goods ordered. Hence, my client owes certain amount of money to the customer. The amount is noted both by the customer and my client.
    Next time the order is received, the payment is adjusted and if there is still some amount left it is further carried over. This has to be replicated in the SAP system.
    I first thought of going with the normal sales cycle and clearing the remaining amount with a credit memo. But in reality the amount is not returned. Then I thought of adjusting the credit memo in the invoicing of next Sales Order but I don't know if that is possible too.

    Hello,
    Thank you for appreciation. We are all giving our point of views. The solution provided by others above is also perfectly workable.
    1. Now there is no need to change Credit Limit everytime.
    Since your requirement is to create Delivery after receiving advance payment from Customer I have suggested this simple solution. Where you have to set Credit LImit (T-Code FD32) of Customer as zero or 1 USD.
    Now make settings in Credit Management (T-Code : OVA8) such that system will block Delivery document if Credit Limit is exceeded. (Hope you are aware of Credit Mianagement settings, if not, kindlt search the forum & you will get necessary guidance)
    2. Let me present you a example:
    Sales Order 1001 - USD 2000
    Credit Limit - ZERO (which will block the Order for Delivery)
    Customer Payment Received - USD 2000
    New Credit Limit (after posting Payment Receipt thru T-Code F-28) - USD 2000
    Release the Order thru T-Code VKM3
    Actual Good Issued to Customer (Invoice Value) - USD 1900
    Now when above Transaction is completed the CREDIT balance in Customer A/c would be USD 100
    Thus the Credit Limit now would be USD 100 (This will be automatically set & not setting is required for this)
    Now, Sales Order 1002 - USD 3000
    Credit Limit - USD 100 (as explained above)
    Customer Payment Received - USD 2900
    New Credit Limit - USD 3000 (Payment of USD 2900 + USD 100 already available)
    Actual Goods issued to Customer (Invoice Value) - USD 3000
    Balance in Customer A/c - 0.00
    Hope this clarifies,
    Thanks,
    Jignesh Mehta

  • TDS on Sales Invoice and TDS on Advance Payment

    Hi All
    Can any one explain the below WHT scenario.
    "If we get advance payment from customer and after some time (15days) we have posted an sales invoice against him. Now on which amount we have to deduct TDS. (At the time of Advance from Customer we have deducted TDS).
    Again we have to deduct TDS on Sales Invoice or not?
    Thanks
    Chandra

    Hi Chandra,
    First of all, TDS means Tax Deduction at Source and so it does not apply to receipts from customers. It applies only in case where we pay to our vendors. While we receive the payment from our customers, its the customer who deducts the TDS and not we. We only book the total Invoice that we book as revenue and take the TDS certificate at the end of the year from the customer and submit it to the IT dept. By submitting the TDS certificates, we need not pay tax to the extent of TDS certificates.
    So its only when we make advance payment to our vendors/sub-contractors or while booking the invoice of our vendors (whichever is earlier) that we have to deduct TDS.
    Hope you understand this. Kindly revert if u need further information.
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    SAP-FICO Consultant

  • 100% advance payment during sales order creation

    Dear Experts,
               One of our international client is having one requirement for collecting the 100% advance payment from customer during sales order creation itself. Our customer is in Germany.
    For high risk customers they want to collect the advance payment for 100%. And if this 100% advance payment was not paid by customer then, sales order should not be processed.
    And during regular sales invoice creation the same down payment also needs to be displayed in the invoice as advance payment.
    Is it possible to setup this process using milestone billing.?? .or some other process is available to setup this process.
    Thanks for your cooperation.
    Warm Regards,
    Velmurugan

    Hi
    Try with this with Credit management.Put High Risk with Error message.
    When ever you will Create Sales Order it will Block due to Credit Chech.For this scenario Enter the Parking  Vale at F-66.
    Then make a entry for Customer-CR to BANK-DR.
    This may solve ur requirement.
    Regards
    JS

  • Re:Advance Payment before sales order

    Before Sales Order advance payment is received So how configure in SD?

    Hi,
    Please have a look in to this link:
    [Advance Payment Process|Reg: Advance payment from Customer;
    Regards

  • Automatic clearing of Customer Advance Payment

    I want to perform the following scenario
    Scenario: At the time of entering advance payment there should be a reference field e.g. contract number etc. And this reference field should also appear while entering invoice in the system. This reference field will be used to clear the advance payment with the respective invoice automatically.
    i am doing following steps to perform the above scenario
    Posting Advance Payment through t.code f-29
    then entering the invoice through t.code.  fb70
    then clearing both the transactions through f.13
    is this a right procedure which i am following or is there any better solution for the above scenario

    You should use below for customer advance process:-
    - Posting Advance Payment through t.code f-29
    - then entering the invoice through t.code. fb70
    - then clearing both the transactions through F-39
    Regards,
    SDNer

  • Using of cash journal for advance payment to vendor or from customer.

    using of cash journal for advance payment to vendor or from customer.please give advice?

    Hi,
    Set up a new transaction for "Advance Payment to Vendor" in Cash Journal IMG. The menu path in IMG is Financial Acct --> Bank Accounting --> Business transction --> Cash Journal --> Create, Change, Delete Business Transactions. Transaction Code for this configuraiton activity is FBCJC2.
    Enter Company Code, Business Transaction Type as "K" and Cash Journal Business Transaction as "Advance Payment to Vendor". This will work if you are paying to Vendor from Petty Cash.
    Check Receipt from Customer is supported if you take it in Cash Journal and then later deposit to Bank. But check payment to Vendor should be handled trhough either automatic payment program or outgoing payment transaction.
    Hope this helps,
    Reagrds
    CSM Reddy

  • Customer Advance Payment - Distribution to customer and risk deposit accoun

    Dear Sir,
    We have one scenario where we receive advance payment from the customer and want to show 90% to customer account and 10% to a GL account for Risk Deposit.
    How we can achieve this using Terms of payment or any other concept other than adding two line items while posting the advance payment.
    Thanks in Advance.

    You can meet your requirements with
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    2. Instalment pyament terms.
    First at the time of entry itself in Incoming payment take 90% as regular payment and the balance as a special GL "C"payment.
    Also craeate a payment term with 90% immediate and balance at a later time as you wish.

  • Advance payment account code interchanged- prepayment (customer,supplier)

    From AP they are entering invoice as advance and the enduser is executing programs...here the issue is accountant saying prepayment account "Advance received from customers" should be there.but mistakenly system configured as "Prepayments- Advances"......Which configuration i should alter at the back end to change this...pls help me...

    Dear Dina,
    Thanks a lot 4 ur reply.yes v r using events in Projects Billing, where the event type is Advances.Version is 12.0.4
    To work on the issue i changed the AA Lookup sets(Event Revenue from Event Type) segment value for advance from "prepayment advances"(Asset) TO "advance received from customer"(Liability).I m not understanding whether this works out.Further i checked n GL value
    advance received from customer put under Liability
    Retention deducted from customer had put under Liability
    Prepayment-advances put under Asset....is that rite?
    Further accountant entering advance events value in billing as negative value...(Has it be positive value?)
    Pls clarify me where the flaw..
    Thanks a lot in advance
    Edited by: prety on Apr 20, 2010 12:04 AM
    Edited by: prety on Apr 20, 2010 12:17 AM

  • Advance payment report required

    Dear guru
    generally in our plant for advance payment we have to intimate the account department for release the payment against advance or PI or any other terms.
    i want the report which can show me that which supplier payment is pending (for advance only)
    at present i m using FBL1N. i didnt get the required report from this
    Regards
    Devesh

    Hi Devesh,
    There is no standard report to address just your specific requirement. However as others suggested you need to rely on the line item reports with specific selection criteria which you might already be doing.
    Else develop custom report to suit your specific requirements.
    Thanks & Regards
    Subhasish

  • A/R Advanced Payment Steps Confirmation

    I need some confirmation regarding advanced payments from customers.  I have read in the forums that advanced payments can not be linked to a sales order and the suggestion was to use the remark field to make note of the payment.  Using the remark field is not an option for me.  So as I understand it the steps for processing an advanced payment from a customer would be as follows.
    1.     Create sales order for amount $1,000.
    2.     Create A/R Down Payment invoice for $1,000
    3.     Create incoming payment $1,000
    4.     Create delivery off the sales order
    5.     Create invoice with $0 balance due from the delivery
    Correct?
    It just seems steps 1-3 are a lot of work that could be avoided if SBO simply added a deposit field to the sales order window that posted the payment once the sales order was saved.  Iu2019m not a programmer so I just have to work with what comes out of the box.

    I am having an issue applying a payment to the reserve invoice.  Initially I posted my advanced payment steps as follows.
    1. Create sales order for amount $1,000.
    2. Create A/R Down Payment invoice for $1,000
    3. Create incoming payment $1,000
    4. Create delivery off the sales order
    5. Create invoice with $0 balance due from the delivery
    Based on Gordon's suggestion step 2 above would be an A/R Reserve Invoice.  After doing so I moved on to step 3 and entered an incoming payment.  I then selected the checkbox next to the A/R Reserve Invoice in the rows below in the "Incoming Payments" window.  Lastly I click the "Add" button, but B1 throws up a message "...amount to be paid is not matched to existing transactions. Do you want to post this amount as a Payment on Account?"
    I don't understand why I am getting this message.  If the payment I've entered is matched to the reserve invoice what's wrong?  Am I missing a step or do something out of sequence?  I even created the delivery from the AR Reserve Invoice and still had the same problem applying the payment to the AR Reserve Invoice.

  • How to go for Advance Payments..Release Process

    Hi SAP Experts,
    How to go  for Advance Payments..
    Any Guidence will be appriciated with Points..
    Thanks in Advance
    Adarsh
    Edited by: adarsh srivastava on Jan 25, 2008 7:57 AM

    Hi Aadarsh,
    Advance payments is nothing but Down payments. Here i am taking down payment to Vendor and later clearing against invoice.
    PROCESSING DOWNPAYMENT MADE TO Vendor
    ENTERING DOWNPAYMENT REQUEST:
    Accounting –> Financial Accounting –> Accounts payable –> Document Entry  –> Down payment –> Request (or) F-47
    Document date – 24/07/2007 (current date)     Posting date – 24/07/2007 (current date)
    Account             – ****** (LG)                     
    Trg.sp.G/L Ind. – A & press enter.
    Amount            – 25000/-               Business area – 830B
    Due on             – 27/07/2007           Text – Down payment request & POST.
    DISPLAY VENDOR A/C – TO SEE NOTED ITEMS:
    All requests are comes under NOTED ITEMS. To see this, select the T code FBL1N.
    Vendor Account – ****** (LG)          Company code – 8301
         All Items     
       Noted items (deselect the rest of the all check boxes) & execute.
    ENTERING DOWNPAYMENT MADE TO VENDOR:
    Accounting –> Financial Accounting –> Accounts Payable –> Document Entry  –> Down payment –> Down payment (or) F-48
    Document date – 24/07/2007           Posting date – 24/07/2007
    Account     – ****** (LG)           Special G/L ind – A
    Account     – 211002           Business area – 830B
    Amount      – 25000/-     
    Value date – 24/07/2007           Text – Down payment paid. (Don’t press enter)
    Select REQUEST button.
    In the next screen select the check box & select CREATE DOWN PAYMENTS button and SAVE.
    DISPLAY VENDOR A/C – TO SEE DOWN PAYMENT MADE:
    Select the T code FBL1N
    Vendor Account – ****** (LG)
    Company code  – 8301
         All Items
         Special G/L transactions (deselect the rest of the all check boxes) & execute.
    POST PURCHASE INVOICE AGAINST PAYMENT MADE:
    Accounting –> Financial Accounting –> Accounts Payable –> Document Entry  –> Invoice - general (or) F-43
    Document Date – *//***          Posting Date – *//***
    Company Code – 8301                Currency       – INR
    PstKy – 31               Account – ****** (LG) & press enter
    Amount – 50,000/-         Business Area – 830B           Payt terms – 830I
    Text – Goods purchased
    PstKy – 40               Account – 401000 (Material Purchased) & press enter
    Amount – *          Business Area – 830B
    Text – + & press enter. Select menu item DOCUMENT –> SIMULATE & POST.
    CLEARING OF DOWNPAYMENT MADE AGAINST INVOICE:
    Accounting –> Financial Accounting –> Accounts Payable –> Document Entry  –> Down payment –> Clearing (or) F-54
    Document date – 24/07/2007           Posting date – 24/07/2007
    Account       – ****** (LG)           
    Invoice ref. – ****** (against which Vendor invoice you want to clear)
    Text       – Clearing document
    Select PROCESS DOWN PAYMENTS button. Double click in the TRASFER POSTING (or) specify the amount & SIMULATE & SAVE.
    DISPLAY VENDOR A/C – TO SEE OPEN ITEMS:
    Select the T code FBL1N
    Customer Account – ****** (LG)
    Company code       – 8301
         Open items
         Normal items (deselect the rest of the all check boxes) & execute.
    CLEARING OPEN ITEMS MANUALLY:
    Accounting –> Financial Accounting –> Accounts Payable –> Account –> Clear (or) F-44 
    Account           – ****** (LG)
    Clearing date – *//*** (Current Date)
    Select PROCESS OPEN ITEM button. First deselect all items (by double clicking on the line items). Then double click on the first invoice line Item (Invoice – 25,000) and double click on the payment (Document type – KA) and SIMULATE and POST.
    DISPLAY VENDOR A/C – TO SEE ALL ITEMS:
    Select the T code FBL1N
    Customer Account – ****** (LG)
    Company code       – 8301
         All items
         Normal items (deselect the rest of the all check boxes) & execute.
    If this is helpful. assign me points

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