ACH-CCD

I have created a payment method utilizing the PMW for vendor payments-ACH-CCD. when I look at the file created, it has four lines at the bottom consisting of all nines with  a length of 94 characters. Does anyone know the purpose of these lines?

Helo SAP Gurus,
Can some one help in configuring CCD/CTX/PPD, incase already using payment medium RFFOEDI1, the IDOC is being sent to bank through EDI file
What are the additional configuration required for ACH through IDOC?
appreciate your help

Similar Messages

  • How to change ACH File ID Modifier in ACH CCD File in SAP SAPFPAYM program?

    Hi,
    We are using ACH CCD File transmission using PMW to send ACH file to get incoming customer payment to the bank. In one F110 run, we have multiple house banks in a single company code, so we will have three different files to send. Here our issue is since these three files are generated through a single payment run, the date and time stamp on the three files will be same so we will have the same File ID Modifier in the Header record of the ACH file. But bank is not able to identify these three files as unique files because the File ID Modifier is same for all three files. In SAP unless these files are generated at different time, they all will have same File ID Modifier. Now we need to change this as per banks requirement. Can any one please help me on how to do this?
    Thanks,
    Ramesh

    Hi Ramesh,
    Agree with your last comments about File ID of DMEE file.
    But if bank is same but has different accounts in different branches, to distinguish them we have SWIFT code or IBAN.
    The same file means the same DMEE generated file, probably with different tags with different data. As long as the final bank is same for ex. ICICI, it may have branches in different states but usually the format will be same for a bank , but the value of the tags may differ for different branches.
    Cheers,

  • Doubt in ACH CCD Format

    Hi
    We are using ACH - CCD format and for Line 6, we need the foll input:
    Individual identification number: Company's identification number for the receiving company. When I checked it, this is stored in
    DTAUSCCD7 - CCD7 - Identification Number
    Where to maintain this field to be picked into the file format?
    Regards
    Srini

    > But , heard, one cannot place a multiline data as a single message in the JMS Queue.
    That is wrong. You can put anything in the JMS queue, even binary.
    Regards
    Stefan

  • ACH CCD vs CTX

    If an ACH payment file is created for 1 vendor and it has 2 or more
    invoices paid within that payment, NO addenda (record type 7) records
    are produced. If there is only 1 invoice, then the addenda record is
    produced.
    How do I get multiple addenda records (record type 7) for each record
    type 6?
    SAP has responded:
    "with a single payment the system does not create the addenda record.
    It will only create it only if you pay a single invoice per payment.
    As per the development team,
    "Addenda record must be created only for one invoice but not for
    multiple invoices and this conforms to the ACH rules issued by NACHA.
    So reported query is not the problem but is the standard behaviour as
    per ACH regulations".
    Hence please be informed that the ACH CCD only allows one addenda recordper payment.As an alternative to this you may consider using CTX instead"
    My question is:  How do I use/configure CTX??

    Helo SAP Gurus,
    Can some one help in configuring CCD/CTX/PPD, incase already using payment medium RFFOEDI1, the IDOC is being sent to bank through EDI file
    What are the additional configuration required for ACH through IDOC?
    appreciate your help

  • PMW to create ACH  CCD+ TXP Addenda format for remitting withholding taxes

    Hello, I am looking for documentation for creating the ACH CCD+  with the TXP Addenda format for tax payment remittance using Payment Medium Workbench (PMW).  Is there a standard payment method and format that can be used?

    Hi Rick,
    You might need to tweak standard DMEE formats 'ACH_CTX_FG' or 'ACH_FG_BULK' to include TXP addenda information. You can do this through transaction DMEE. Use these DME formats in Payment method/Country settings (Transaction OBVCU). SAP provided payment methods 'D' or 'T' for US in standard system with above formats and format supplements 'CCD' and 'CTX'.
    You can configure formats 'ACH_CTX_FG' or 'ACH_FG_BULK' in transaction OBPM3; user exits available.
    Use transaction OBPM4 to set up the variants for formats.
    You can execute program SAPFPAYM to create DME files after completing the payment run through F110.
    Please award points if you find above information is useful.
    Thanks,
    Venkata Ganesh Perumalla

  • ACH CCD PMW issue

    Hi All,
    We have generated ACH-CCD file using PMW. However, we are unable to get the company name in the 5-record. This is a required field. Any idea where can we maintain that filed so it gets populated in the file ?
    Thank you for your help!
    Maya

    Hi Maya,
    For ACH you need to perform couple of steps:
    1.     Assign “RFFOUS_T” program in FBZP under Payment Methods in Country Tab for ACH relevant payment method   (APXY).
    2.     Create ACH Variant in OBPM4
                   SPRO-- SAP Customizing impl Guide-- Financial Accounting ( New) -- Accounts Receivable and Accounts Payable-- Business                                    Transactions- - Outgoing Payments -- Automatic outgoing Payments-- Payment Media --Make settings for Payment Medium Formats from                  Payment Medium Workbench -- Create and Assign Selection Variant)
    3.     If you are looking for customize 7th Record then Implement USER Exit “RFFOX104”
                   And in F110 variant select Additional record check box.
    4.     Assign company number in house bank configuration.
    If you don't want 7th customize record then you can use CCD and PPD payment method  format, instead of RFFOUS_T program in FBZP you need to Assign Format as ACH and Format Supplement as CCD and PPD.
    In this case you need to configure(SPRO--SAP Customizing impl Guide-- Financial Accounting ( New) -- Accounts Receivable and Accounts Payable-- Business Transactions-- Outgoing Payments -- Automatic outgoing Payments-- Payment Media --Make settings for Payment Medium Formats from Payment Medium Workbench -- Create and Assign Selection Variant) OBPM1, OBPM2, OBPM3 and OBPM4. No Need to change any configuration in OBPM1, OBPM2, OBPM3, just need to assign ACH Batch Header and company identification as company number(Whatever you assigned in House bank configuration)
    Create and Assign APP(F110) Variant under Program “RFFOAVIS_FPAYM”
        System will create automatically Header record, batch header,detail record,batch control record,header control record.
         Thanks & Regards
          RK

  • ACH CCD file creation

    Hi guys: I have managed to create an ACH CCD file using PMW. The issue is that i need invoice numbers on my file and this is not showing up. The forums that I have read indicate that we can create a payment advice and thats included in the payment medium file letting the vendor know that detail of invoices, but how do i do that?
    Any other ideas will be much appreciated
    thanks
    BD

    Hi Zach...how will I be able to create an addendam record?
    thanks
    Brian

  • Issue with ADDENDA for ACH CCD

    Hi All,
    We need to display the addenda record for each vendor (Example invoice details). However, the file that we are able to generate shows this data only if there is one invoice per vendor in the payment run (REGUH-RPOST = 1).
    We need to know if there is any setting which can control this? We are running the classical payment run report RFFOUS_T and cannot think of moving to PMW at this moment.
    Regards
    Neelav

    Hi Neelav,
    For ACH you need to perform couple of steps:
    1.     Assign “RFFOUS_T” program in FBZP under Payment Methods in Country Tab for ACH relevant payment method   (APXY).
    2.     Create ACH Variant in OBPM4
                   SPRO-- SAP Customizing impl Guide-- Financial Accounting ( New) -- Accounts Receivable and Accounts Payable-- Business                                    Transactions- - Outgoing Payments -- Automatic outgoing Payments-- Payment Media --Make settings for Payment Medium Formats from                  Payment Medium Workbench -- Create and Assign Selection Variant)
    3.     If you are looking for customize 7th Record then Implement USER Exit “RFFOX104”
                   And in F110 variant select Additional record check box.
    4.     Assign company number in house bank configuration.
    If you don't want 7th customize record then you can use CCD and PPD payment method  format, instead of RFFOUS_T program in FBZP you need to Assign Format as ACH and Format Supplement as CCD and PPD.
    In this case you need to configure(SPRO--SAP Customizing impl Guide-- Financial Accounting ( New) -- Accounts Receivable and Accounts Payable-- Business Transactions-- Outgoing Payments -- Automatic outgoing Payments-- Payment Media --Make settings for Payment Medium Formats from Payment Medium Workbench -- Create and Assign Selection Variant) OBPM1, OBPM2, OBPM3 and OBPM4. No Need to change any configuration in OBPM1, OBPM2, OBPM3, just need to assign ACH Batch Header and company identification as company number(Whatever you assigned in House bank configuration)
    Create and Assign APP(F110) Variant under Program “RFFOAVIS_FPAYM”
        System will create automatically Header record, batch header,detail record,batch control record,header control record.
         Thanks & Regards
          RK

  • Acknowledgement of ACH Payments

    We are currently making non-tax ACH (CT) payments and are about to begin making tax payments via ACH (CCD+ TXP).  However, our Tax Dept. is hesitant because we can't provide them some kind of acknowledgement or proof that the payment was made and received by the taxing authority.  Apparently this is important in case of a  dispute because of penalties and interest imposed on late payments.  How have other companies approached this with ACH?  Alternatively, perhaps we should be making tax payments with a FEDwire which provides a tracking number (not sure if SAP can do these).  All thoughts are appreciated.  TIA.
    Jim

    Jim
    Normally the Bank would provide confirmation either electronically or by mail regarding the ACH payments made on the client behalf and alternatively you send payment advice to the vendor(tax authority)!!!
    These should be sufficient for documenting and communicating right??
    And regarding Rupendra's Question i guess the below link answers and if so create a different query and paste this link its normally better for the forum to have 1question answered to 1 thread...
    http://help.sap.com/saphelp_erp2005vp/helpdata/en/47/8bf634b576bc4ee10000009b38f83b/frameset.htm

  • Addenda information for ACH payments

    Hi All,
    We are using PMW with an ACH CCD format to send the ACH files to our Bank. But certain vendors require us to send ADDENDA record as given below for e.g.  in the ACH payments
    705ISA00NV 00NV ZZNV ZZNV 09100615300010000001
    Can we enter this information in the item text of the vendor invoice, if yes then what will be the config to polulate this information
    in the addenda record of the ACH files. Due you think activation of segment/item text check box in the NOTE TO PAYEE config of payment method in fbzp can do the trick?
    Thanks
    Ron
    Edited by: Ron on Feb 25, 2010 10:26 AM

    hi
    I am working on 11i to R12 upgrade project.
    All I have is SQL and flatfile from 11.5.10 instance..I need to implement ACH in R12...
    How this flatfile is created in R12
    Do I need to create a Etext RTF template in R12? My bank is wellsfargo
    I need to create and implement ACH/credit/debit format in R12 environment.
    whate are the steps to create a bank accepting flat file in R12
    Can you please tell me how should create the flat file in r12? Should i create etext template or
    XML RTF template..
    appreciate your reply
    kp

  • Does the RFFOEDI1 program has any implication on the ACH direct deposit?

    Hi all,
    Can any one please explain the use of RFFOEDI1 program. Is this
    program used just to generate I-Doc?
    Scenario: For Check payment method(C)
    Once F110 run is successful, then we have to run RFFOUS_C program to
    generate checks. Once this program is complete, checks will be
    generated and the check info will be available in PAYR table.
    Scenario: For ACH-CCD payment method (D)
    Once F110 run is successful with payment method D, The payment details
    will hit BSAK table.
    Now, I don't want to generate the SAP standard I-Doc with RFFOEDI1, do
    I still need to run RFFOEDI1 program???
    For the check payment, RFFOUS_C program triggers the generation of
    checks after which the check info will be available in PAYR table
    Likewise, does the RFFOEDI1 program has any implication on the ACH
    direct deposit?
    To my understanding, If you do a payment using payment method, ACH
    direct deposit in SAP, we don't generate any check numbers ???!!!
    Do we get any reference number or anything when the direct deposit is
    done??? This reference number could be used to trace the invoice
    against which this ACH payment was done!
    If it is the case, where do we get/ when do we generate the reference
    number to trace the invoice????.....any inputs?
    If we are not going to run RFFOEDI1 program, (if we are not interested
    in generating IDoc) then are we DONE with the ACH direct deposit, once
    we are done with payment run(F110)???
    Where do we get the reference number which specifies the ACH payment?
    Sorry, I have poured in lot of question at one place!
    Any inputs/ solutions/ suggestions are greatly appreciated!
    Thanks a lot!

    RFFOEDI1 is typically used when payments to vendors are to be sent by an EDI 820 file to the bank. This program generates the PEXR2002 idoc. The idocs are sent to the EDI translator where these are mapped to an EDI 820 file format and sent to the bank.
    Scenario ACH-CCD payments method (D)
    If you do not want to send EDI 820 payments, you would typically not generate the idoc - in which case - you dont have to use RFFOEDI1. This probably means that (a) you are using the RFFOUS_T program for generating the payment medium or (b) you are using the payment medium workbench to generate the ACH file (NACHA format) for your house bank.
    You do have to send an ACH file to the bank for paying your vendors - which means - you are probably using one of the above methods to generate the file.
    ACH Direct Deposit
    I am assuming that you are probably referring to ACH-PPD type payments here. You would still have to send the payment medium using one of the methods mentioned above.
    In all ACH scenarios, your payment document number, is your reference number that was used to clear the open item.
    Hope this helps.

  • ACH Payment Notification

    We are currently making non-tax ACH (CTX) payments and are about to beging making tax payments via ACH (CCD+ TXP).  However, our Tax Dept. is hesitant because we can't provide them some kind of acknowledgement or proof that the payment was made and received by the taxing authority.  Apparently this is important in case of a  dispute because of penalties and interest imposed on late payments.  How have other companies approached this with ACH?  Alternatively, perhaps we should be making tax payments with a FEDwire which provides a tracking number (not sure if SAP can do these).  All thoughts are appreciated.  TIA.
    Jim

    Hi,
    Have you reviewed the payment method for wires to be sure the remit advice is mentioned there?

  • Submitting 3rd party payment garnishments via ACH file format

    Our Payroll Services is required by leglistation to submit child support garnishments electronically.  We wish to submit the employee garnishment details in an ACH file format.
    Do we have the ability to specifiy which details from IT0194 and IT0195 get created in the ACH file?  If so how?
    I have not been able to find this solution in configuration or a user exit.  Is a customization required or a BADI?
    We have been able to generate a Remittance Table  from the 3rd Party Remittance Evaluation Run, but it shows a number of unnecessary and blank fields.  We need other data, such as the Case Identifier Number, Employee Name, SSN, Status, Vendor ID, Order Type, Deduction $ Amount, etc...
    Thank you.

    Hi Manny,
    A couple of more questions:
    1. You mention PMW calls a function module which retrieves the HR info and fills the addenda garnishment info.  Which function module is this? 
    2. You suggest we copy the standard format ACH and modify it.  Which one is the "standard" and how do we modify it?  Does this involve a user exit? Or is it just the configuration steps mentioned above?  Can you provide more specific instructions on the config?
    3.  Can we produce multiple emplooyee garnishment info detailed records in one ACH file or is it one ACH file per employee?
    4.  About how long would this take to configure and set up?
    5.  We are able to generate an ACH CCD file, but we cannot get the SSN or Case ID to appear.  Instead of these details, we seem to receive an SAP system generated HR ID for the record. 
    Thanks very much for looking into this.
    Mihkel
    Edited by: Mihkel Jurima on Oct 5, 2009 5:44 PM

  • ACH direct deposit

    Hi,
    I am trying to implement ACH direct deposit of expense claims. I am not able to create the payment stub(advice) and the file to be sent to bank. The following is the proposal log from F110.   
    Job started                                                                         
    Step 001 started (program SAPF110S, variant &0000000000069, user ID SANNEPU)        
    Log for proposal run for payment on 03/26/2007, identification S3261                
    End of log                                                                          
    Step 002 started (program SAPFPAYM_SCHEDULE, variant &0000000000046, user ID SANNEPU)
    Step 003 started (program RFFOUS_T, variant &0000000000036, user ID SANNEPU)        
    Program RFFOUS_T: No records selected                                               
    Job finished                                                                        
    I am not sure what the problem is? Can anyone help? 
    Thanks,
    Sobhan.

    RFFOEDI1 is typically used when payments to vendors are to be sent by an EDI 820 file to the bank. This program generates the PEXR2002 idoc. The idocs are sent to the EDI translator where these are mapped to an EDI 820 file format and sent to the bank.
    Scenario ACH-CCD payments method (D)
    If you do not want to send EDI 820 payments, you would typically not generate the idoc - in which case - you dont have to use RFFOEDI1. This probably means that (a) you are using the RFFOUS_T program for generating the payment medium or (b) you are using the payment medium workbench to generate the ACH file (NACHA format) for your house bank.
    You do have to send an ACH file to the bank for paying your vendors - which means - you are probably using one of the above methods to generate the file.
    ACH Direct Deposit
    I am assuming that you are probably referring to ACH-PPD type payments here. You would still have to send the payment medium using one of the methods mentioned above.
    In all ACH scenarios, your payment document number, is your reference number that was used to clear the open item.
    Hope this helps.

  • ACH Addenda record

    Hi All,
    We are using PMW with an ACH CCD format to send the ACH files to our Bank. But certain vendors require us to send ADDENDA record as given below for e.g.  in the ACH payments
    705ISA00NV 00NV ZZNV ZZNV 09100615300010000001
    Can we enter this information in the item text of the vendor invoice, if yes then what will be the config to polulate this information
    in the addenda record of the ACH files. Due you think activation of segment/item text check box in the NOTE TO PAYEE config of payment method in fbzp can do the trick?
    Thanks
    Ron

    We have created a Z version, it is advisable not to edit SAP standard FM.
    Your Qs,
    SAP has suggested to modify the payment format with event 31, as an enhancement to even 30. Have you had any thoughts/suggestion on this?
    It depends on your requirement. If you are using PMW standard ACH format with payment supplement CCD. Then I will suggest you to use FI_PAYMEDIUM_ACH_DETAILS_CCD and assign it to note to payee config, you don't have to touch event 30
    If you are using PMW standard ACH format with payment supplement CTX. Then I will suggest you to use FI_PAYMEDIUM_CTX_FG_30 in event 31.
    Otherwise use the functional module initial suggested by you in event 31 becuase here you can take care of further custom requirements
    Thanks
    Ron

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