Account statement for customer statement

Hi,
This is regarding to generate acc statement(customer statement), account type D(customer) thru F.27.
At the summary of the statement by period bucket, when partial settlement done in different period from the invoice due date, I need the balance amount to be in the bucket of invoice due date period bucket.
For example, I print the statement on 1st of Sept 2007. The due date of the invoice $10000 was 15th June 2007 and partial settlement $2000 done on 15th Aug 2007.
The statement will show in the summary : under 1-30days as 2000- and under 61-90days as $10000.
Now I do not want to split but to show the balance of $8000 under bucket 61-90days.
May I know if I need to change the program RFKORD11? in which include?
What should I do to achieve this changes?
Thanks

Hi ,
u can copy that program and do required changes for getting desire results.
Regards
Peram

Similar Messages

  • Account number for customer

    Hi Experts,
    What is the table and field name for Account number for Customer.
    Its possible to one account number have more than one customers.
    Thanks in advance.
    Points will be rewarded.

    Dear Jasmine.
    Can you please be specific about yur question. Account Number?? where is it used in which tab do you find it.
    regards
    Sridhar

  • Account Number  for customer - Urgent

    Hi Experts,
    What is the table and field name for Account number for Customer.
    Its possible to one account number have more than one customers.
    Thanks in advance.
    Points will be rewarded.

    Hi Jasmine,
    which account number you are talking about?
    Account Number will be always unique, 1:1 mapping 1 customer will have 1 account number.
    Reward if it helps,
    Satish

  • Account group for Customer

    Hi is there any Transcation to find Account group for particular Customer. Other than XD07 as we dont have authorization for XD07 in production.
    Regards
    Nagesh

    Hi,
    in XD03, enter customer number, view the customer and go to "Extras / administrative data", there you can see the account group.
    Best regards, Christian

  • Account determination for customer account with ZERO value

    Hi Friends,
    My clint requirement is to sell product free of cost to customer but per accounting purpose taxes need to be calculated.Any possible solution guide us per acheving this challenge.
    Accounting needs to be trigger like below
    DR.customer     $0.00
    DR Free of charge account      $100.00
    CR. output vat 18%                   $18
    CR EXCISE DUTY  12%(IF APPLICABLE)  0.00
    CR un relized revenue                         $82.00
    Thanks in advance
    Srinivasa

    Hi,
    If your configuration is correct, an accounting document will get created during invoice creation even if the value is zero. Acct doc is created not based on the value, but based on the account key to which the condition type is linked.
    Generally in free goods, there will be net price (gross price- discounts). You can link this netprice condition type to an account key. The netprice will anyway be nullified by NB00 condition type which is applicable for free goods pricing. You can also link NB00 to another account key.
    Now the values will nullify each other in invoice. Similarly the values will be nullified in accountnig doc also and they can be posted to any GL account you wish.

  • Vendor and vendor accounts for custom duties

    Hi,
    I have to pay custom duty to the government for the imported goods. Do we need to create a vendor master for government in this scenario or if not how can we tackle that it? Do we need to have a separate reconciliation account for this or are we using the same account that we use for trading vendors?
    Thanks
    M.K.

    Hi MK,
    The Vendor account creation for Custom vendor is a normal process, just like you create any other vendor.
    As regards a separate recon account, the normal Vendors show liability for good purchased, whereas this would be liability for taxes and duties..
    You can assign the same recon account, which you assign to all other vendors for Taxes like Service tax, Excise, TDS etc..
    Regards,
    Kavita

  • IDOC for Customer Account Statement

    Hi All,
    I have a requirement that the Customer Statement should be sent thru and IDOC for some specific task. We are using the F.27 to print the Customer Account Statement. In the process of finding the IDOC for the same, we found FINSTA01 and Message type FINSTA will suit the requirements. Now the issue is, when i use F.27, it generates the SPOOL and starts priniting the same, insetad i need the same to initiate the IDOC. I mean the communication method to be IDOC instead of the Physical Print. Can anyone help me on how to do this? also please through some light on the things needs to be done if anyone of has come across such requirement.
    Thanks in Advance.
    Regards
    Nambi

    Hi Thiruchudar,
    There are some setup you need to do. If you're not technically well grounded, i would suggest you get an ABAPer to do this for you. Basically, the following are what you need to do:
    1. Create the Partner Profile for your Customer using transaction code <b>WE20</b>. Click on the create icon and enter Partner type <b>KU</b> (Customer) and enter the Customer Number.
    2. Next, add an Outbound Message Type <b>FINSTA</b> by clicking on the <b>green +</b> icon under the outbound parameters. Complete all the other mandatory fields as appropriate. Save your Entries.
    3. Test your outbound partner profile for your customer by running the customer statement again using transaction code <b>F.27</b>.
    Your output control would have been created with the medium EDI.
    4. Use transaction code <b>WE05</b> to display the iDocs that would have been created.
    <u><b>Note:</b></u> You still have to set up the communication between your system and that of your Customer to allow for EDI transmission.
    I hope the above helps.
    Do not forget to award the points please.
    Thanks and Regards,
    Jacob

  • Block Customer for Account Statement : Urgent pls

    Can anyone suggest if there is any option to block a customer from being sent Account Statement.
    We currently have a Z program, where we give a range of customers in the selection screen and it will print statements for all the customer.
    But if we dont want to send statement to a particular customer, how can we do that..
    Is there any similar option like Dunning block, to block a customer from being sent a statement.
    Please let me know

    In the customer master data, company code tab. In the Account statement field you can select the Indicator for periodic account statements 1 or 2. You can also add one for no statement. When you run F.27 it will process statements based on the Indicator for periodic account statements.
    pls assign points to say thanks.

  • One Account Statement for customer present in more than one company code.

    Hi all,
    We have requirement of printing one account statement for customer present in more than one company code.
    Program RFKORD10 generates more than one statements for customer present in more than one company code.
    Please suggest if any customiztion or program changes need to be done for above issue.
    Thanks.

    If customer is present in more than one company code then you can config in different co codes.
    Now could you brief your requirement, i think you want to print only once and system should print in both company codes at one time. Is it like that?
    Regards
    Ashu

  • Account statements with 30 days past due items for customer

    Hi Guys,
    My client wants to generate the account statements or  letters for customers whose open items are 30 days past due.I guess its related with dunning process not with generating regular statements using Tcode F.27. Could anyone please guide me what are the steps involved in achieving this scenario,and how system will capture the customer accounts outstanding  with line items 30 days over due.I be grateful.Thanks
    Iqtidar

    In IMG -> Accounts Receivable ->Dunning->Basic Setting-> Define Dunning Area first and
    Then define the dunning Procedure this where you will mention the due date after which you have to start the dunning procoss and the interval between 2 dunning level. Transaction code is FBMP
    Attach the Dunning Procedure to the Customer Master ->Company Code Data -> Correspondence
    Then run the Dunning Procedure in the Transaction Code : F150

  • Standard Smartform  For Customer Account Statement

    Hello All,
    As you all know there is standard sapscript and Driver Program for customer account statement.
    But i want to know that, Is there any Standard Smartform  For Customer Account Statement???
    If yes , Please let me know the name of that smartform?
    Regards,
    Anuja Dhondge

    there is no standard smartform for customer statement. only script...

  • Sender email address for Customer Account Statement

    Dear Experts,
    Here's an issue that my colleague and I are currently facing:-
    The Customer Account Statements that are sent via email in the transaction F.27 show that the sender email address is not equals the Accounting Clerk (KNB1-BUSAB) maintained in customer master data (FD03). Instead, the sender email address here is the email address of the person executing the transaction F.27.
    I've looked through some programs (RFKORK00 and RFKORD10), and the variant used (SAPMA). Unfortunately, we still could not determine the root cause for this issue. What should we be looking into, and how can we resolve this issue too?
    Any inputs would be much appreciated. Thanks.
    Regards,
    Deborah

    Hi Ajay,
    Thanks for your input. Really appreciate it. Would you please enlighten me further?
    "The accounting clerk’s name is then printed in any correspondence with the customers or vendors."
    The statement above leads me to think that consequently, the accounting clerk's email address should be the sender email address for the mail that is sent to the customer.
    Also, when I hit the 'F1' key on the Accounting Clerk (in transactions F.27 or FD03), the following texts are shown:-
    "Accounting clerk
    Identification code for the accounting clerk.
    The name of the accounting clerk defined by this identification code can be used in the payment program for correspondence and reporting (for example, open item lists)."
    Again, this leads me to think that the sender email address should be the accounting clerk's email.
    P/S:
    The customer is saying that this should not happen, so my colleague and I are just investigating this issue further.
    Regards,
    Deborah

  • FI Customer Account Statement with Debit and Credit Columns

    Hi SAP Expert,
    We are using form (developed from T-code: SE71) to send customer account statment for only open items this is working fine.
    Now My wants customer account statement for all transactions but with debit and credit in a separate columns. is there any way we fulfill these kind of request?
    if any particular logic then let me know please.
    thanks in advance
    b/r
    prashant rane

    Dear Vivek,
    You logic is helpful can I apply this in SE71 form development?
    Below is my customer layout format
    Document # | Document Date | Reference | Debit Amt | Credit Amt |
    In bottom toal Debit / credit balance figure
    can I use any code/login is SE71 form or I will need to create any development report which involves user exit?
    I am looking for SE71 optios first
    thanks in advance
    Prashant Rane

  • VENDOR/GL/CUSTOMER  ACCOUNT STATEMENT WITH OPENING BALANCE

    Can anybody  tell me the tcodes in SAP for Vendor/Gl/Customer Account Statement with opening balance.
    Best Regards,
    Sudhanshu Dang
    0124-3081015

    hii
    As per my knowledge no such reports  for GL are there in sap.. we also had a same requirement but could not find it... we wanted reports with opening and closing balalnces...
    u can go to SAP1 and check all the standard reports available. check wheather any report fulfills ur need or else go for abap reports...
    Check f.42 T code for Vendor Report. and s_alr_87012172..for customer.
    thanks
    sejal

  • How To trigger last page in sap script of customer account statement

    Hello all,
    I am working on customer account statement.
    It has it's own standard script(F140_CUS_STAT_02). But my client's requirement was completly diffrent,so i copied that to z script and made some changes like delete some window and some another window.
    Now on first page , i have following windows,
    1) Header
    2) address
    3) main
    4) Account
    5) Footer.
    Next Page having following windows,
    1) Header
    2) Main
    3) account
    4) footer
    Now i want to print account window on lsat page, so i put the condition nextpage = 0.
    and it is working fine , but as account window is physically present after Main window , so that much blak sapge is getting creted after main window on every page.
    To remove that blank space i am thinking of creting one more page and everytime i want display account window on that page.
    I have creted the last page also. but in my output it not detecting that last page.
    For First page - next page is next.
    For Next page - next page is next.
    for Last page- next page is last.
    Also i have added following code at last in  main window.
    /: NEXT-PAGE LAST.
    But i think i am placing this code at incorrect position in main window.
    I am not able to find out the correct podition to put the above code,but main window of that script conataing so namy text element, and that text element are getting handled from driver program based on some conditions.
    I have added my code in main window but not changed the original code.
    Plz let me know where to write /: NEXT-PAGE LAST. in main window.
    Or provide me some another solution to trigger thet last page in sap script.
    Regards,
    Anuja Dhondge

    Hi ,
    actually in account window i have used tha box command to print account statement.
    Previously i was printing this account statement in main window itself but without using bottom and end bottom command.
    So , as i made some changes or add some code in main window then lines of this account statement  were getting dismental.
    So my question is using bottom and end-bottom command this will happen or not????

Maybe you are looking for

  • Hi Help me in executing My Project

    Hi all, I'm a BTECH student. I'm currently doing my project and had some problem during execution... My SYStem Configuration: OS: Windows 2000 server.. For Project Purpose I Installed in my System: JDK 1.5 Tomcat 5.0 and Oracle 9i.. I can't run the p

  • Unable to process downpayment request (F-47) for the vendor with the PO

    Hi All, We are not able to process the advance payment request for the vendor 450004398 with the PO 3000086605 due to below mentioned error " You cannot use this transaction type to post this asset.u201D After getting error we double click that error

  • IPod skipping during playback

    My iPod (G5 30GB) is usually working fine, but when I'm jogging with it it skips. Is this because of the vibration while jogging? Or maybe because of the heat? (it's tucked away in an inner pocket - nice and waterproof but gets pretty warm in there.)

  • Applications won't launch

    Several of my applilcations will flash up then off.  Mail, Datebook, Safari launch, but most downloads don't.  Please advise. Thanks, John

  • How to configure Gnome 3.0?

    Hi, I just installed gnome from [testing], the first thing is that there are some conflicts in "gnome" group (for instance gnome-themes and gnome-themes-standard), but more important thing is that I have no idea how to configure it. Previously I was