Accounting Entry for Outgoing Payment

Dear experts,
I am currently doing PLD for outgoing payment.  Just want to know how I can include in the disbursement voucher I am doing the accounting entries for this.,  Example:
Accounts Payable (Control Account)         20,000.00
     Cash in Bank MBTC  (GL account of the chosen Bank account)    20,000.00
Thanks
Sandra

You may check this thread to have a reference:
Re: Branch Code in a bank transfer summary report
Thanks,
Gordon

Similar Messages

  • Background Journal entry for Incoming payment

    Dear Experts,
    Would you please help me in how to get the journal entry for an incoming payment entered as "payment on account".
    The relationship map does not show this, but I can see the credit entry for the customer is passed.
    same happens for incoming payment made for specific AR invoices.
    SAP Doc says...
    Result
    An incoming payment document is created.
    A journal entry that credits the customer and the tax accounts (if tax is involved), and debits the receivable account, is created.
    The journal entries of the incoming payments and the paid invoices are reconciled.
    The paid invoices are closed; they no longer appear in the Open Items list and in the Incoming Paymentswindow as documents for payment.
    So how to check the journal entries for incoming payments.
    Regards
    Message was edited by: Suman Roy

    Hi,
    To see journal entry, drill down arrow at transaction no of incoming payment window.
    Thanks & Regards,
    Nagarajan

  • Accounting Entries for Materials Return from Production Order

    Dear Gurus,
    I have a scenario here that a raw material, valuated at moving average = 151 and qty = 100, was issued to a production order last month. Due to some issue the order was not completed for a while and 93 qty was  consumed for the order and because the remaining 7 were excess they were returned to the storage location. By that time the MOV had changed from 151 to 185 and the 7 qty was returned not at 151 (which would be correct) but at 185. This is a wrong accounting entry as it is showing an under consumption for the order.
    Anyone have an idea why the system is doing this because the material should be returned on the price it was issued at so that the accounting entries are knocked off (The accounting entries for return deliveries to vendors are of the same price that they are recieved no matter how ever long a period they are returned). How do we stop the system from doing so and if it cannot be done what is the solution to the scenario.
    Regards,

    The normal entires are as follows (depending on your configuration);
    1) Goods issue;
    Credit inventory and debit COGS;
    2) Billing document;
    Debit customer account credit sales accounts;
    3) Payment;
    Credit customer account and debit cash/ checking account
    pls assign points if helpful as a way to say thanks.

  • G/L Account mane on Outgoing Payment Ptint

    Hi  all..
    When designing a print layout for outgoing payments, using bank transfer, the G/L accout name is not being displayed.
    I can select the transfer account .. means G/L account code...  but i'm not able to show the compleete description..
    Example..  i see only the G/L account code.. ( 02010101 ) but miss the name of the G/L account.
    Can someone help me to solve this??
    Pleaseee ...
    Thank you in advance..
    marco

    Hi Marco,
    The reason why you are not able to access Bank Name is that Bank Name is not stored in Outgoing Payment table. Only Bank Code is stored in OVPM table.  
    To make Bank Name printed, please kindly refer to the following steps:
    - Create a UDF on Outgoing Payment Title.
    - Link a FMS to the UDF to retrieve bank name from ODSC table according to the bank code retrieved in the OVPM table.
    - Add the UDF field in the print template.
    Now you should be able to print the bank name as well.
    Hope this helps.
    Regards, Summer
    SAP Business One Forums Team
    Edited by: Summer Ding on Jul 2, 2008 9:41 AM

  • Accounting Entries for Order to Cash

    Hi,
    Please give me the accounting entries for flow of Oder to cash. What are the entries from starting of SD Order to Fianl Customer Payment.
    Thanks,
    SRK

    The normal entires are as follows (depending on your configuration);
    1) Goods issue;
    Credit inventory and debit COGS;
    2) Billing document;
    Debit customer account credit sales accounts;
    3) Payment;
    Credit customer account and debit cash/ checking account
    pls assign points if helpful as a way to say thanks.

  • Accounting Entry for Depot Excise Invoice

    Hi Gurus
    We make a STO from factory to depot. I have posted the depot excise invoice via J1IJ but Im unable to see the accounting entry for the excise invoice..
    Im able to see the acounting entry for excise invoice for factory sales thru J1IIN..
    Pls advise
    Rgds..Vinz

    Hi Vinz,
    I would like to explore more for ur info.
    When u create Excise invoice at Factory Using J1iin, accounting entries flow to the system. When u transfer it to Depot, u credit the Excise amount using MIRO and post it to RG23D ( Depot Register)
    The value of the excise for which u have taken credit from ur factory would be passed on to customer now.
    If you notice carefully, when u take credit of Excise entry in RG23d No accounting entry flows in the system, only value & qty gets updated to Register.
    Generally, while deciding the selling price from depot  u consider Basic price + Excise duty. since u are passing on the excise benefit to customer, using proforma excise invoice (transaction J1IJ)
    So there is no wuestion of accounting entries.
    Hey CIN Gurus.. correct me if i am haveing any misconcepts regarding this.
    Hope this is clear to you now..
    Reward if helpful..

  • Approver name for outgoing payment

    Hi Friends,
    I want a query for outgoing payment with the Username of the person who approved this and along with requester (originator) name .To print on crystal report one for requester name and other approved person  name.

    Hi Pradyuman,
    Please check below Query for Approver Name for Outgoing Payment.
    SELECT T3.U_NAME
    FROM OVPM T0
    INNER JOIN OWDD T1 on T0.DocEntry =  T1.DocEntry
    INNER JOIN  WDD1 T2 on  T1.WddCode  =  T2.WddCode
    INNER JOIN OUSR T3 ON T2.UserID = T3.USERID
    WHERE T2.Status  = 'Y' and  T1.ObjType  = 46 And T0.DocNum = $[OVPM.DocNum]
    Please try below Query for User Name for Login User.
    SELECT T0.U_NAME FROM OUSR T0 WHERE INTERNAL_K = $[USER] FOR BROWSE
    Please put above Two FMS in Two Different UDF to Get Result of above  FMS.
    Please also check below links.
    Approved by User name query
    Name of authorizers within an approval procedure
    Hope this helps
    Regards::::
    Atul Chakraborty

  • How to Print the Account Balance in Outgoing Payment PLD

    Hello Experts
    How to Print the Account Balance in Outgoing Payment PLD
    Dixit Patel

    Hi,
    you can use udf in the outgoing payment to record  the vendor's account balance and then using the query FMS ;
    select balance from ocrd where cardcode = $[$4.0.0]
    Assign the query in the UDF so that each time after entering the vendor code, the balance appears.
    After add the payment, the balance is recorded.
    In PLD, you can create the UDF field to make the balance appears in the outgoing report.
    Rgds,
    JimM

  • DI FOR OUTGOING PAYMENT(VENDOR) PAYMENT MEANS CHECKS

    Hi Experts,
    Can you give me a sample DI code for outgoing payments(vendor) through payment means on check. thanks
    Regards,
    Phoenix

    Hi Lucas,
    Are you trying to refund a customer or pay a supplier's invoice? If it's the latter then you need to use SAPbobsCOM.BoRcptInvTypes.it_PurchaseInvoice as the document type rather then it_Invoice.
    Kind Regards,
    Owen

  • Payment on Account in Incoming/Outgoing Payments

    Please tell me what is the purpose of Payment on Account in Incoming/Outgoing Payments forms and also in what all combinations I can use this feature.

    Hello,
    Basically it is used to accept the payment not based on certain invoice (open invoices) if you tick the field (tick box field). You must manually reconcile the payment to the invoices using automatic internal reconciliation or link invoice to payment feature that is available in banking module --> bank statements and reconciliations --> link invoices to payment. If you use the reconciliation option, you will also must create balancing journal before reconcile the transaction (i.e. open transaction in debit and credit side reconciliation balancing journal).
    let me know if you need further explanation.
    Rgds,

  • What are the Transactions for outgoing payment ?

    Hi,
    i look for the transactions to use for outgoing payment for each payment method
    Please advise
    Regards.

    You need to add payment method (ZLSCH) as an additional selection item using T Code O7F1.  It will then appear as an addition selection in F-53 (post outgoing payment), when you select radio button 'Others' under Additional Selections.  You must be already aware that you can restrict automatic payment program (F110) to certain payment method(s).

  • Data Ownership for Outgoing payment document?

    Hi All
    How do I enable data ownership authorisations for outgoing payments window?
    Thanks
    SV Reddy

    Hi
    Read Below line
    The checkbox labeled Owner Filtering Active is a global flag to activate or deactivate data ownership authorizations for the entire company. Once this is activated, for all sales or purchasing documents and sales opportunities, access will be granted only if the user has a relationship to the owner and has the permission for that relationship either as Read Only or Full. In the case that a document or sales opportunity has no owner, then any user can access it as if no data ownership is in place. Any user can assign an owner to a document or sales opportunity that does not have an owner. Once an owner is assigned, only the owneru2019s manager or a superuser can change the owner.
    Excluded Forms Tab
    For each selected document, choose one of the filtering options:
    ·        No filtering: Data ownership is not active for this specific form irrespective of the owner fields at the header or line or stage.
    ·        By Header Owner Only: The document or sales opportunity is visible to the owner of the document and to all those users that have a defined relationship to the owner of the header and have the requisite permission for the specific relationship. The owner of any of the lines or stages will have no affect on providing access to the document or sales opportunity
    Kevin

  • Why the Docentry and DocNum for Outgoing payment is same?

    Hi,
    I have define the numbering series for Outgoing payment , But while i created the outgoing payment document, in the backend the docentry and docnum values are same.
    Anyone have idea why its happened?
    i am using 2007 B
    Regards,
    Senthil Kumar

    Hi senthilkumar,
    That is the normal behavior in that table.
    Regards,
    Vítor Vieira

  • Accounting Entry for Material has Standard Price

    Hi,
    If Material has standard price option, what is the accounting entry for the time of Direct Goods Receipt and from the production.
    Material Value is : Rs. 100/-
    Purchased value is : 90/-
    from production : 110/-
    Thanks in advance

    Hi,
    In STO, material posting with price valuated from issuing plant price. In your case, the transportation cost, you can capture to separate G/L account and pay to transport vendor.(In STO , one plant is vendor and another plant is customer, so a third party vendor involved for material transfer)
    OR else use separate own Custom Condition Type  with Special Condition Category instead of condition type P101 which have Condition Category "G", only responsible to pick  the internal price
    Regards,
    Biju K

  • How to stop Accounting Entries for certain Movement Types

    Hello,
    We are using Movement Type 511 to record free of charge receipts from vendors. Still it is generating Accounting Entries with Standard Material Price.
    Is there any way to stop Accounting Entries for 511 and other Movement Types, where external business partners are involved ?
    I tried IMG Setting "Define Account Grouping for Movement Types", where I did not tick in the field "Value Updates". But it did not work.
    I believe, Account Grouping settings at the level of combination of Plant and Material Type takes precedence. There I have ticked in the field "Value Updates". So even if create a new Movement Type, with no tick in the field "Value Updates", it creates Accounting Entries for free of charge receipts from vendors.
    Is there any way to stop any accounting entries in such cases ?
    Basically I want 311-like movement type, but where external business partners are involved.
    Thanks and Regards

    Hello,
    Thanks to you all for your quick reply.
    I created a new Movement Type - copied it from 511 and made the changes as per your suggestions  - disabled field "Value Update" in "Update Control / WM Movement Types".
    Using MIGO when I try to receive the material, it gives me error "Update Control of Movement Type is Incorrect"
    Any reason for this error ? I have disabled even "Check Account Assignment" in Account Grouping
    Thanks and Regards

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