How the Partner Bank type field in Customer master is used ??

Hi,
When 2 bank accounts are maintained in the customer master. In the Bank type field ( Partner Bank type), I give X and Y for these 2 bank accounts.
When an invoice is raised for this customer thru Sales order, I am not able to give this partner bank type i.e X or Y in the Invoice, since the invoice is automatically created.
If I raise thru FB70, I am able to give this X or Y.
How can I use this Partner Bank type field when I raise sales invoice thru Sales order.
Can anyone help me on this as early as possible.
Regards,
G.Ameet karthikeyan.

Hi Experts,
We have executed an automatic payment run in F110. Status of payment proposal and payment run are successful. Postings orders: 1 generated and 1 completed.
However, the payment method used in the payment run is incorrect.  Instead of 'D', the user mistakenly inputted C. Kindly advise what is the purpose of Payment method in F110 and what will happen if the payment method used is incorrect and different from the one maintained in the vendor master.

Similar Messages

  • Is there any user exit/ badi to populate the partner bank type for   F-63.

    Is there any user exit/ badi to populate the partner bank type (field name BSEG-BVTYP) in transaction F-63. There is exit ‘ZFI_FOAP_CDITEMS_00001011’ having BKPF and BSEG as only import parameters so I can’t change the value for BSEG-BVTYP.
    So could you please let me know any exit where I can change the value for BSEG-BVTYP for transaction F-63?
    Thanks in Advance,
    Steevan

    hi,
    Below r the user exit related to transaction  F-63.
    Check out if any of them will solve ur Query..
    F050S001            FIDCMT, FIDCC1, FIDCC2: Edit user-defined IDoc segment
    F050S002            FIDCC1: Change IDoc/do not send
    F050S003            FIDCC2: Change IDoc/do not send
    F050S004            FIDCMT, FIDCC1, FIDCC2: Change outbound IDoc/do not send
    F050S005            FIDCMT, FIDCC1, FIDCC2 Inbound IDoc: Change FI document
    F050S006            FI Outgoing IDoc: Reset Clearing in FI Document
    F050S007            FIDCCH Outbound: Influence on IDoc for Document Change
    F180A001            Balance Sheet Adjustment
    FARC0002            Additional Checks for Archiving MM Vendor Master Data
    FEDI0001            Function Exits for EDI in FI
    RFAVIS01            Customer Exit for Changing Payment Advice Segment Text
    RFEPOS00            Line item display: Checking of selection conditions
    RFKORIEX            Automatic correspondence
    SAPLF051            Workflow for FI (pre-capture, release for payment)
    Reward points if helpful,
    Regards,
    Brijesh

  • Partner bank type field missing in payment proposal list

    Hi Gurus,
           The partner bank type field is not being displayed in payment proposal list whereas I can display the same in vendor line item display.  Though there is a field named BnkT in the proposal list the partner bank type is not displayed.  Kindly advice me in this regard.
    Regards.

    Hello,
    Please note the system selects the bank with the lowest BVTYP.
    This means that a bank which has no BVTYP will be selected first,
    then one with AAAA, then BBBB. This is the reason why the partner
    bank which you expected was not chosen.
    Please read the F1 help for this field which explains the main purpos
    of this field:
    F1 Help:
    In the business partner's master record:
         If several bank accounts exist in a customer or vendor master
         record, you can assign different keys for these accounts.
    In the item:
         To use a particular bank of the business partner for the payment
         an item, enter the appropriate key in the item. The payment prog
         then pays the item via the business partner's predefined bank.
    Here you can enter, for example a number, 0001.
    Then, when you post a document with the transaction FB01 or F-42, you
    can display the field 'Partner bank type' (BSEG-BVTYP). Here you can
    write the number 0001 or another number for another bank of the same
    vendor. Afterwards, you can post this document.
    Also, you can use Business Transaction Event (Open-FI) 00001810 to
    implement your own algorithm to select a bank. For details, see the
    documentation of the sample function module SAMPLE_PROCESS_00001810.
    Also review below notes in the same context about "F110: partner bank
    type".
    363219 - F110: Wrong partner bank after proposal run maintnc
    390740 - F110: partner bank type not in clearing line of payment doc
    Hope this clarifies the system behaviour.
    regards
    Ray

  • Partner bank type field in FB65

    Hi,
    I need to add / get partner bank type (BVTYP) field in the FB65 in payment tab (its available in FB60, FB70 and FB75).
    Did anybody work on this previously ?? i knew about getting this using transaction variant or getting the field through user exit.
    But, i need detailed information from previous experience.
    Thanks in advance.
    Uma

    Hi,
    Thansk for the answer. This field is not available there.
    Thanks
    uma

  • The Partner Bank Type of the vendor in the Purchase Order

    Hi All,
    A vendor has got more BanK Accounts. These, in his master data, are marked with different Partner bank type.
    Creating a Purchase Order, I'd like to know if is possible to specify a specific Partner bank type, obtaining it later in the invoice (vendor item) created by MIro.
    Thanks
    G.

    You should create multiple vendors for each bank account and assign that as an invoicing party (PI) partner on the mail vendor this will allow you to choose vendor code for specific bank account.

  • Partner Bank Type not Updating

    When running transaction F-110, the programme will not pick up DM documents on customer accounts due to the fact the Partner Bank Type field is not populated.
    As such I have to do this manually for each vendor every month. If this was populated invoices would be automatically netted against debit memo's
    to explain what's happening in our company here is the process...
    When we order a material from vendor - we normally raise a credit memo, after that when the quality department finds any fault with the product what they do is they do some repair work and they create a surcharge against it. This surcharge will create a creditmemo.
    Quality Management is implemented in our systems.
    A notification is created in Qm01
    Surcharge is added in Qm02
    And this produces a debit memo request (a sales order) in Va03
    Every night Batch input session runs in VF04 and billing document is produced.
    From billing document u2013accounting document is produced.
    Here when we run F110- it should normally net off credit balance with the new debit balances, but F110 cannot select these documents as partner bank type is not updating.
    (Both master records checked. And its happening for all the vendors)
    1) whether there is an opportunity to create (or) populate the field Partner bank type in creation of billing document.
    2) Any BTE's will help me like  (00001120).
    Please help me,
    cheers

    Hi Dove,
    I think you can use a substitution for field Bank Type at Item Level (TCODE OBBH). This would fill your bank type when you post the document in FI, then you won't have problems in F110.
    Hope that helps.Cheers.
    Ignacio.

  • Partner bank type

    Hi,
    Vendor 1000000 under company code 1000 has 4 bank accounts  Each (USD, GBP, SGD, EUR) is identified by BnkT (Partner Bank Type) field in vendor master.
    When we performed F110 payment, system automatically picks the first bank account in the vendor master. However, we need to specify the exact bank account to pay to (e.g. for TT/ACH cases).In F110, we know we can manually choose to reallocate the invoice and select the correct bank account but there can be hundred of invoices in a payment run so it's impractical to do so.
    One way is to have a check in F110 to pop up a message whenever there is any vendor with multiple bank account.
    Another way is to set partner bank field as mandatory for vendors with multiple bank accounts.The IV staff then has to select the correct partner bank.
    Any good workarounds?
    vivek

    Hi
    We have similar situation.
    Can you please tell me how do you activate pop up message & how do you change vendor bank in payment proposal.
    Thanks

  • Maintain Partner Bank Type for customer

    Hi,
    I have a problem when running the payment proposal via F110.
    I want to procede to a customer/vendor clearing, the problem is that the partner bank type is filled for the vendor but not for the customer.
    If i want to maintain "partner bank type" for the customer, where should I maintain it?
    Could you please advise me?
    Thanks in advance,
    Soumaya

    Hi,
    If your client does not want to use this field because the bank details are set for deletion then, refer to OSS Note no.:1016924. Otherwise, please try Substitution in OB28 with the User Exit ZGGBR000 (Copy of RGGBR000).
    Regards,
    Kiron Kumar T.

  • How to make a default entry to "partner bank type" in MIRO/FB60?

    "Payment transactions" data containing the partner bank type is under the "General data" section of the vendor master.  Meaning it is not company code specific.
    For example, I have four banking information (and of course four partner bank types) entered in the vendor master. The first two are the ones I entered in the vendor master with company code 0001 and purchasing organization P001.  The last two banking information were entered when I went into the vendor master with company code 0002 and purchasing organization P002 (I added two new banking accounts for this example). This information is not company code specific, meaning all company codes that have created/linked to this vendor can change this information.
    So, when I post to MIRO or in FB60 for that same vendor, under the payment tab, I have all the four partner bank types in the matchcode for field 'partner bank type'.
    I want to find a way for the correct bank partner type to default in the correct company code.  There are many vendors that company codes 0001 and 0002 share.  If the vendor has more than one bank account, for example a US account and a Mexico account, then the AP clerk has to remember to manually pick the correct bank partner type every time he enters an invoice.  If he forgets, then the system picks the first banking account information and the payment gets sent to the wrong banking account.  There should be a way for the system to default to the correct bank partner type per company code so the AP clerk doesn't have to manually select the correct bank partner type every time he vouches/enters an invoice.
    Do you have a recommendation for this matter? Thanks in advance for all your advice.

    Hi folks,
    I have the same problem described by Peter. I cannot seem to find an answer to this problem. Currently, the only way round this issue seems to be to input the partner bank type during invoicing. However, the person doing invoice verification is usually a different person from the AP clerk who does payment and he / she might not be vigilant enough to ensure the correct partner bank is selected. I would like to avoid a situation whereby bank type is selected during invoicing. Is there a way whereby for each company code using shared vendors, we are able to default the partner bank type at the master data level? Is there any user exits available?
    Many thanks for the advance advice. Tina

  • Choose Valid partner bank type - F110 issue

    Hello,
    We are facing the following issue while running payment program in F110.
    Choose valid partner bank type                                     ZFBAREP 005
    Error in creating the payment document; read job log    FZ 305
    The message ZFBAREP 005 is the customized substitution message to update partner bank type field while posting invoices.
    How this message triggering when exectuing F110.
    where we need to check the triggering point of this message.
    regards,
    Bramhendra

    Chintan,
    my question is where is the call function of the sustitution in the program F110.
    regards,
    Bramhendra

  • PARTNER BANK TYPE PROBLEM

    Hi All,
    We all know that for maintaing 'PARTNER BANK TYPE' in 'Vendor Master Record' the 'Country, Bank Key & Account Number' is 'Primary Key' so we cannot make 1 to Many relation for example-
    Country         BankKey      Account Number            Partner Bank Type
    IN                  12345             12345                            IN01
    IN                  12345             12345                            IN02
    IN                  12345             12345                            IN03
    Here system will give error.
    To overcome this i developed a 'Validation' in which i have created 'A Warning Message' & same time i developed a 'Z' table in which i maintained 1 to Many relation then i manipulated the 'Program' generated by 'Validation' & made complete automation of 'Partner Bank Type' so every time when 'Invoice' get posted system picks the 'Partne Bank Type' with reference to 'Logic'.
    But i am not able to 'Understand' how system will 'Pick' 'BANK' at the time of F110 with reference to 'Z' table.
    Please suggest what should i do is there any 'USER EXIT' is there where i can isert this 'Z' table.
    Lokking forward for response.
    Regards
    Sandeep
    Edited by: sandeep on Dec 21, 2010 7:14 AM

    Hi,
    I think you should use BTE 00001810. Please search in the forum with the 3 keywords bank type bte.

  • Partner bank type missing in custmer invoice.

    Dear Experts:
    I want to netting vendor and customer invoice usting F110. (The vendor is also the customer)
    Partner bank type should be the same so that these data can be groupped together when netting.
    But the Vendor invoices have the partner bank type while the customer invoices which are generated from SD module don't have the partner bank type. Is it possible to configure the Partner bank type in SD module?
    Thanks!
    Edited by: Qilan Wang on Jul 13, 2010 9:59 AM

    Hi,
    It is not directly possible to get it from the SD.  But you can use the BTE concept to have this option. BTE : Business Transaction Event - search in the forum for details.
    VVR

  • FD33 - Receivable Field in Customer master is not getting updated

    FD33 - Receivable Field in Customer master is not getting updated for the FI documents posted in the customer account. I need to know is there any setting either in FI or in SD, which control whether the FI document is relevant to credit check?
    In SD, we are having the item category but i am not getting how to control for FI documents? How can i make them credit relevant item. Also for special item, we are controlling the same through Transaction code : OBXY - by special GL indicators but what about the normal/general item?
    How can I control the general FI documents having various FI documents type as relevant to credit check?

    Apart from the above,please also check the below:
    FD33 - Receivable Field in Customer master is not getting updated for the FI documents posted in the customer account. I need to know is there any setting either in FI or in SD, which control whether the FI document is relevant to credit check?
    As per me there is no specific control to active the credit active field in FI values unlike for updating the sales values in FD32 we activate credit active for the item cat(VOV7) which will ensure the sales values to update (open order, open delivery and open invoices) in to credit management.
    For FI values to update i think this is inbuilt in the program only.( example update group 000012,15,18 etc).
    Any way coming into query not updating the receivables, please check the below points once again.
    1. Check the whether invoice has accounting document generated or not, make sure that it is generated then only system update the receivables.
    2. Even if the above all points are checked including above all posts,then also still the same issue repeating  then try to run the program RVKRED77, before this first run RVKRED88 and compare this values with FD32.
    thanks,
    Srinu.

  • Field Partner Bank Type in Credit notes in AR

    Dear all,
    We sometimes need to pay by bank transfer credit notes to some of our customers.
    I know that it is possible to maintain the field Partner Bank Type in the customer master data for different bank accounts and then select in the AR item which bank account we want to use in the payment run.
    However, this field (BSEG-BVTYP) does not seem to be available when the line item in AR corresponds to a credit. Is there any configuration setting that can be amended in order to achieve this?
    Many thanks.

    per SAP standard, the posting key's have some fields suppressed. Please check the credit posting key you are using (for e.g. 11) ,T.code OB41. Look into the payment transaction section & make the bank partner field Opt.Entry.
    Hope this helps you.

  • No partner bank types exist

    My client has properly entered bank information for a customer using FD02 for 2 banks including the field Bank type. So while entering an invoice - say by FB70, it should display that information under Part. Bank type. But instead they get a message - No partner bank types exist when doing a drop down on that field.
    Any ideas?
    Thanks for your help.

    i have getting the same problem , can you just share the information , how u solve it

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