Payment terms cash discount account in sepreate gl code

Dear Friends
customer are paid amount within due date and they allowed for cash discount. system also capture discount but it is not posted seprately as cash discount to the customer account.
for example:
customer paid advance :Rs.10000/-
next day invoice raised for Rs.2000/-
t.code f-32 knock of the invoice against advance
new AB document type generated for Rs.8030
10000-2000=8000 and cash discount of Rs.30
Customers wants their cash discount sepreatly when they see the satement of accounts f.27
Advance thanks for your tips.
Regards
Santa

If you want it to appear on the customer statement it will have to be a customer open item.
However this would then post to the recon account and not the P&L account which I expect you want.
Also discount taken is only posted to when the invoice is cleared.
Therefore you cant get it in a customer statement, you would need to have the information in the Billing doc.
Remember you are offering a cash discount for early payment, this does not mean the customer is always due it. However there are config settings to say the customer should always take the discount.
Hope this helps, if so award points please.

Similar Messages

  • Payment Term - Cash Discount

    All,
    I think that I have an easy question, but just wanted claridifcation.. I need to create a new payment term with a simple cash discount - just 2% if paid in full within 30 days and if not, no cash discount. Also, this is just for purchasing vendors. 
    Within configuration with the payment terms, is the following correct for what I need to do:
    Term 1. 2%   30 Days
    Term 2. 0%   30 Days (note, that I would leave the percentage field blank for this second line).
    At first I thought that I only needed the first line for it, but after reviewing other posts on this topic I have seen that I would probably need the two terms. However, I am unsure if I need to do anything with the Fixed Date and / or Additional Months field. Or, if what I have listed above should be correct.
    If you could provide any assitance, it would be much apperciated.
    Thanks!

    Okay, thanks!
    But just to clarify - the net due date is actually 30 days, and they offer a discount if we pay it within the 30 days - so basically if we pay it on time, there is a 2% discount!
    So setting it up it would be:
    2%  30Days
           30days
    Correct?
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  • Payment Terms- Cash Discount based on Unit

    Dear Friends,
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    Hi,
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  • Payment term & Cash discount relation

    Hi Group,
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    hi
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  • *URGENT* Cash discount account configuration

    Hello SAP Gurus,
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    Hi Sreeni,
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  • Different cash discount account

    Hello Experts
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    Regards
    Manoj

    Hi Manoj,
    You cannot do it. The only alternative is to use Cost Centres to distinguish between the branches and then to do Manual Journal Entries to move values from one account to the other....
    Regards
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    Edited by: Carin Botha on Feb 18, 2011 12:20 PM

  • Vendor Master Payment Terms and Reconcillation account

    Pls tell me In SPRO where Payment Terms and Reconcillation account's are maintained for Vendormaster

    HI Vinay,
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    Reconciliation account for A/C type – Vendors
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    If this is helpful, assign me points

  • Payment Terms and Discount

    Hi,
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    I have one Payment Term with 30 days, 3% Discount, 60 days 1% discount 90 days not discount.
    When I book and invoice say on 20th-Apr-09 and gives baseline date same as invoice date as 20th-Apr-09. and calculate tax on net amount.
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    Net value is                    : 1000
    Tax @19% in Net Value  :   190
    Total AR is                    :  1190
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    I don't know how the discount is calculating at time of invoice. because it has to calculate at the time of Incoming Payment. Because Customer may or may not pay within 30 days.
    So can some one let me know how to correct it.
    Regards,
    Kiran.

    Hi kiran,
    Goto TCode: OBY6 and double click your company code.
    Deselect the Check boxes: "Discount Base is net value" and also the check box "Tax base is net value".
    Hope this helps you....
    Regards,
    Sreekanth....

  • Additional cash discount accounts needed

    Hi!
    Many of our customers want to post the cash discount to different accounts based on the tax code from the invoice. They need cash discount accounts for domestic full, domestic reduced, foreign and EU tax.
    In Standard SBO (2007A SP01 PL07) there is only one possibility provided to enter a cash discount account in the G/L account determination sales / purchase tab.
    Without this seperation, the DATEV AddOn will export all postings regardless of their tax code to just the one correspondig DATEV account defined in the chart of accounts user field.
    In DATEV, there are different accounts for each tax code. These accounts have to be used.
    What if there is an invoice with different tax codes (e.g. A2 and A1)? Then the cash discount has to be posted to different accounts according to the percentage of the respective source amounts.
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    Jens

    Hi!
    Many of our customers want to post the cash discount to different accounts based on the tax code from the invoice. They need cash discount accounts for domestic full, domestic reduced, foreign and EU tax.
    In Standard SBO (2007A SP01 PL07) there is only one possibility provided to enter a cash discount account in the G/L account determination sales / purchase tab.
    Without this seperation, the DATEV AddOn will export all postings regardless of their tax code to just the one correspondig DATEV account defined in the chart of accounts user field.
    In DATEV, there are different accounts for each tax code. These accounts have to be used.
    What if there is an invoice with different tax codes (e.g. A2 and A1)? Then the cash discount has to be posted to different accounts according to the percentage of the respective source amounts.
    Is there any hope that will be possible in a future SBO release?
    Jens

  • Payment Terms with discount

    FI Gurus,
    I recently created  a new payment terms with a discount of 1 percent if paid within 10 days. Payable net if paid after. Everything has been going fine, up until I had a payment with a invoiced ate of Nov. 2008. I have the configuration to calculate the discount based on docuement date and not posting date. When I entered the invoice I even got a warning message that the discount for this invoice was expired. Which it gave me the confidence that I was on the right track. Then I went into the line item details and saw that the discount did not take place. But then when I went to pay the invoice thru BF system deducted the 1 percent. I then went to the account details and there was a discount showing. Did I missed anything during configuration?
    Your suggestion will be greatly appreciated.

    Maximum cash discount was checked in FBZP

  • Payment for Cash Discount posted incorrectly

    Hi Everyone,
    I have a issue and wanted to see if someone came across anything similar.
    The problem is with Cash Discount Posting, the cash discount is calculated correctly in pricing and everything works fine when the invoice is created. However when the invoice is paid and posted in the system it splits the amount of cash discount with freight.
    Example:- Invoice XXXX had a cash discount of $347.64 and the invoice was paid, but when the payment was posted, it posted the cash discount as $347.63 and put the difference of $0.01 to freight.
    I'm not sure what's going on, any idea's or suggestions.
    Also, is there an OSS on this issue?
    Awaiting reply.
    Thanks for your help.
    Shashi

    If you want it to appear on the customer statement it will have to be a customer open item.
    However this would then post to the recon account and not the P&L account which I expect you want.
    Also discount taken is only posted to when the invoice is cleared.
    Therefore you cant get it in a customer statement, you would need to have the information in the Billing doc.
    Remember you are offering a cash discount for early payment, this does not mean the customer is always due it. However there are config settings to say the customer should always take the discount.
    Hope this helps, if so award points please.

  • Payment terms and discount voor the purchasing invoice

    Hi all,
    In the definitions of the payment terms, you can choose how the Due date should be based on: Document date, Posting date, System date or Closing date..we choose for the Document date. (due date = doc. date + 30 days)
    In the payment terms you can also define a cash discount if we pay the suppliers invoice within certain days, than we can deduct a discount of the total amount to be paid.
    So we define f.e. within 14 days, 2%.
    However the title of this colums says: Days after Posting date and the system also react like this.
    The posting date of the suppliers invoice can ofcourse be different as the document date of this suppl.invoice.
    F.e.: Suppliers Invoice: doc. date 30/9/2008, Posting date: 18/10/2008, Due Date 1/11/2008 (Doc.date + 30 days)
    Payment at 25/10/2008 by the payment wizard.
    The wizard still deduct 2 % as the due date of this invoice has not been reached, while the 2% should only be deducted if we pay before 14/10/2008.
    So as we defined the due date based on the Document date, but the cash discount uses the posting date. (column title)
    Is this wrong in the definitions or standard behaviour.
    How can I use the cash discount in the payment terms?
    Please advise.
    Best regards,
    Carl Verhagen

    Hi Peter,
    I'm talking about the A\R invoice.
    The supplier sent his invoice with document date 1/10/2008 and his payment terms is payment within 30 days.
    We receive the invoice at 3/10/2008 and after control etc. we will post the invoice at 7/10/2008.
    If we use the posting date as a base for the due date, the invoice have to be paid at 6/11/2008, but the suppliers due date is 31/10/2008 and that's a difference of 1 nearly week.
    If there are problems (f.e. caused by ourself) and the invoice will be booked at 20/10, we still have time to pay it before the due date 31/10 instead of 19/11/2008)
    I think that the supplier will not be amused if we use the posting date as the base for calculating the due date.
    We can discuss what's right to use, but SAP B1 gives the opportunity to choose between Doc.date, posting date and system date as a base for calculating the Due date but for cash discount it's automatically the posting date??
    Best regards,
    Carl Verhagen

  • Payment term based discount or surcharge

    Client have requirement of Payement term based discount or surcharge. Conditions are like below:
    1. 10% discount to customer if he is paying cash.
    2. 5% discount if he is paying with in 15 days by cash, check or wire transfer.
    3. 5% surcharge on all other Payment terms other than above two mentioned.
    4. There are many payment terms  that's why We do not want to create several conditions record for surcharge.
    Please help & advice how to solve this using Standard SAP (With out writing any ABAP program or new routine).
    thanks

    Hi Jitender
    Please correct me if I am wrong.Looks like you have better Idea on this!
    why do You think that the issue is more of factoring discount?
    If he maitain 3 condion records for the 3 different payment terms, the system checks the payment terms from the customer master data in the order - Right?
    condtion record  EX:sales org, D.c, payment terms( for cash) - 10%( = $10)
    like that he will maitain 3 condition records for 3 payment terms.
    The moment I enter cystomer(systmem checks from customer master) in the sales order the sytem will picks up the $10 from condition record and it will display as a discount.
    whats wrong in that?
    Please can you clarify me.
    Thanks

  • Payment terms vs GL Account

    Hi,
    Currently all discount in 3 payment terms are posted to same GL account for vendors and cost centre.Now my requirement is that all the discount in the above 3 payment terms should post to different cost centre and GL account. How to achieve this functionality . Any config reqd.

    Hi,
    You can assign cost centres howmany you want to different gl's based on the expense.
    Payment terms you assign only to Vendors and you can't assign cost centers.
    your requirement can be done in standard SAP.
    Rgds
    Murali. N

  • RFBIBL00  Cash Discount Account

    I am using RFBIBL00 to generate invoice clearings from incoming customer payments.  However, the cash discount amounts are being posted to a different account than the one used when I perform the same clearing using FB05 interactively.  I am an ABAPer with no FI confuguration experience.  Is this a config issue?

    If your question Posting invoice discounts using RFBIBL00 is solved, please mark it so.
    Rob

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