Advance Payment Problem

Hi SAP Gurus,
I have a scenario.How to create invoice for advance payment?
My scenario is like this:
Order is for 100 computers.The computers will be delivered partially.It will be delivered in folowing way:
1st delivery 40qts
2nd delivery 35 qts
3rd delivery 25qts.
For each parrtial delivery one invoice is created for advance payment.Means client want to create invoices for advance payment for each partial delivery (e.g. 10% advance for each paritial delivery) respectively. And than he wants to create 100% invoice for each partial delivery. This 10% advacne payment invoice is only for information purpose and release of 10% payment. But the 100% invoice for each partial delivery is the main invoice.And also client wants to mention the  of advance payment invoice document number in the main invoice.
How to do this.Please its very urgent.
Reward points for helpful answer.
Regards
Ashis

Hi Ashis Patnaik,
It's an interesting situation. Though I'am not very much sure of my answer, you can give a try this way.
While creating the billing doc through VF01, you can select billing type as "down payment request" and create an invoice for the advance amount paid with reference to the first partial delivery, and simulate the same for the other 2 partial deliveries.
Finally, invoice for the total balance payable can be created once the all the partial deliveries are through.
Regards,
Raghav

Similar Messages

  • A/R Advanced Payment Steps Confirmation

    I need some confirmation regarding advanced payments from customers.  I have read in the forums that advanced payments can not be linked to a sales order and the suggestion was to use the remark field to make note of the payment.  Using the remark field is not an option for me.  So as I understand it the steps for processing an advanced payment from a customer would be as follows.
    1.     Create sales order for amount $1,000.
    2.     Create A/R Down Payment invoice for $1,000
    3.     Create incoming payment $1,000
    4.     Create delivery off the sales order
    5.     Create invoice with $0 balance due from the delivery
    Correct?
    It just seems steps 1-3 are a lot of work that could be avoided if SBO simply added a deposit field to the sales order window that posted the payment once the sales order was saved.  Iu2019m not a programmer so I just have to work with what comes out of the box.

    I am having an issue applying a payment to the reserve invoice.  Initially I posted my advanced payment steps as follows.
    1. Create sales order for amount $1,000.
    2. Create A/R Down Payment invoice for $1,000
    3. Create incoming payment $1,000
    4. Create delivery off the sales order
    5. Create invoice with $0 balance due from the delivery
    Based on Gordon's suggestion step 2 above would be an A/R Reserve Invoice.  After doing so I moved on to step 3 and entered an incoming payment.  I then selected the checkbox next to the A/R Reserve Invoice in the rows below in the "Incoming Payments" window.  Lastly I click the "Add" button, but B1 throws up a message "...amount to be paid is not matched to existing transactions. Do you want to post this amount as a Payment on Account?"
    I don't understand why I am getting this message.  If the payment I've entered is matched to the reserve invoice what's wrong?  Am I missing a step or do something out of sequence?  I even created the delivery from the AR Reserve Invoice and still had the same problem applying the payment to the AR Reserve Invoice.

  • Advance payment and down payment with two diffierent tax code

    HI expert!!!
    i have one scenario that advance payment and down payment with different tax code.
    in this time, advance payement post to vendor with po number,  we do not know how to use tax code V1(deductable tax) or VF(Non-deductable tax),  so we post advance payement amount by tax code V1(deductable) even though the amount included both. but we must know how amount is defined deductable tax or non-deductable tax when invoice.
    when we want to post down payment with VF , we could not post it because advance payement posted with V1 tax code.
    this is main problem with my scenario.
    and  as i know,   can i post two advance payement to  same vendor and same po item?, i can't do it with my system.
    only one advacne payment  is possible with one vendor and one po item. or  amount of  advance payment is all cleared by down payment, then i can post another advance payment to same vendor.  is it standard process with po?
    thank you in advance!!

    hi,
    As per my knowledge their is no difference between  advance payment and downpayment.
    and tax code is used for taxes purpose not for the payment terms.
    taxcode is created in ftxp.and related percentages are maintained in fv11.
    ex:-
    if i want  excise duty  - 10% on basic value
    education cesse 2% on excise duty
    sec.education cesses 1% on excise duty
    then fitst i have to create 3 condition types and that 3 condition types are used in my taxprocedure  and that taxprocedure is assigned to country code..
    after that i am created one taxcode in ftxp like v1= exciseduty10%educatiocess2%sec.edu.cesses1% with this description.
    and given the values for that conditions in fv11.
    and used that v1 taxcode in your p.o in invoice tab.
    and payment terms are came from vendor not from taxcode.
    Thanking you.

  • Advance Payment Invoice through MM

    Dear all,
    Please help me on this scenario: my client makes an advance payment for a PO and receievs an invoice for that. This invoice has VAT and it is shown at the VAT report. After a while the vendor sends the materials and a final invoice with the difference of the invoice minus the advance payment. The problem is that my client wants to post the invoice with the difference so as to have the correct VAT on the report, but in MM we have to post the hole ammount so as not to have differences with the PO. Please give me a solution how to treat the advance payment invoice.

    Hi
    In this scenario You have to Post the Advance as Downpayment to vendor with Advance amount and tax what ever incurred thrugh FI transcation  and there you will find a PO field where you can enter PO refernce and book that Advance amount given to vendor.The system will update this in the PO .You can see this in status Tab of the *PO header Data *  and also in th ePO history line item will be updated.
    For the Second half means
    Now you recieve the Invoice from the vendor for the Amount which does not include advance you can post the Invoice by manually change the value.
    Regards

  • Advance payment/No data selected????

    Hi,
    I am trying to print advance payment invoice, but aftre creating all the docs, I am prevented to print the transaction, as the system gives the message'NO DATA SELECTED", when I populate the Sales Doc Number.
    Please give your input and assist me on this issue.Ever gratefull.
    AN

    Hi AN
    As you want to print the advance payment invoice then first of all check in the output type the Transmission Medium you maintained and the Payer / sold to party (SP)  you assigned (PY)
    Secondly also check wheather you have maintained condition record or not
    If the system is giving message as NO DATA SELECTED , then check the output type details
    Go to VF02->header data->output type  and  there click on the tab  Determine Analysis , so that you can know where the problem is
    In the same way Go to VA02->header data->output type  and  there click on the tab  Determine Analysis , so that you can know where the problem is
    For further information kindly check the configuration of the downpayment
    [https://forums.sdn.sap.com/post!reply.jspa?messageID=5084683&useDraft=true]
    Regards
    Srinath

  • Advance payment from clients Model 340 ( report RFIDESM340)

    Hi gurus.
    i have a problem with my tax declaration for Spain ( model 340)
    The thing is that i would like to declarate in this report my advance payment from clients.
    The correct form to do it in Spain in to declarate them at the date of receiving in positive and at the date of the delivery of the machine to declarate the in negative.
    How could i solve my problem?
    Thnaks in advanced!

    Hi Nerea,
    Are you using down payment or milestone billing? If the answer is yes, see note 213852 - Analysis of down payment processing with FI as a checklist.
    I hope this helps you
    Regards
    Eduardo

  • F-48 TDS On vendor Advance Payment.

    Dear All.
    I am facing one problem. I want to deduct the TDS on advances made to vendor.
    My entry is like this.
    50    Axis Bank-5272-Pmnt        81,340.00-
    29A  Rajesh Systems                83,000.00
    50    TDS on Contract-194         1,660.00-
    Is this entry correct ?
    Why vendor is not getting net after deducting TDS ?
    I have some doubts like,
    Is it correct the deduction of TDS on Vendor Advance ?
    TDS on vendor advance & TDS at the time invoice will deduct two times ? Is it a part of business process ?
    If it is possible to deduct the TDS at the time of advance payment made to vendor what settings I need to do ?
    In above accounting entry why vendor not having amount net after deduction ?
    Your help will be great on this.
    Regards,
    Sharvari Joshi.

    Dear,
    q. Is this entry correct ?
    a. the Your TDS deduction seems to be correct.
    50 Axis Bank-5272-Pmnt 81,340.00-
    29A Rajesh Systems 83,000.00
    50 TDS on Contract-194 1,660.00-
    The WT base amount depends on the setting You defined into Your relevant WT type ( Net, Mod. Net Amount, Gross, Tax amount..).
    q. Why vendor is not getting net after deducting TDS ?
    because when you define the WT at payment time, the System clears the entire vendor payable and reduces the bankitem by the wt amount and posts an additional withholding tax line.
    q.Is it correct the deduction of TDS on Vendor Advance ?
    a. if You define for your vendor a Wt type at the payment time, during the Down payment posting, that is a payment in advance, the TDS will be correctly deducted.
    q. TDS on vendor advance & TDS at the time invoice will deduct two times ? Is it a part of business process ?
    a. no during the Down payment, the wt type at the invoice time will not be considered at all.
    q. If it is possible to deduct the TDS at the time of advance payment made to vendor what settings I need to do ?
    You have to define a wt type at the payment time, linked it to the company code and to a reveval G/L Account and define it into Your vendor master data.
    I hope this can help You.
    Mauri

  • WHT on Advance payment is getting reversed at the time of Payment

    Hi,
    WHT on advance payment is getting reversed at the time of payment.
    The configuration is as follows:
    1)  "No Central Invoice" Option is selected in WHT type for payment posting
    2) TDS base is manually entering at the time of Invoice after deducting the Advance amount.
    3) WHT codes are not entered (deleated at the time of Invoice posting)  at the time of Invoice entry.
    Could you please let me know what to do for not reversing the WHT on advance payment at the time of Payment of Invoie.
    Example: 
    1) Advance paid 5000    TDS deduted 113
    2) Invoice is 10,000, TDS is deducted only on 5000 (i.e. 113 Rs again) after deduting the advance payment
    3) Advance is adjusted against the invice using F-54.
    4) TDS on Rs.5000 advance payment is getting reversed at the time of F-53 payment of balance amount.
    Advance thanks for your help
    Regards
    Koteswara Rao Padarti

    Hi KRP,
    The alternative ways for avoiding reversal of TDS related to advance payment is as follows:
    1) select central inv prop radio button at the time of creating tax type for payment posting.
    2)Adv payment vide F-48
    3) Invioce posting vide FB60/F-43.In withholding tax screen update the base amount as net of advance.
    4) while making payment vide F-53 select the Special GL  indicator A for clearing the advance.
    5) While creating remittance challan vide J1INCERT select all the document number i.e. doc no pertaining to adv payment as well as inv posting.
    6) Update bank challan vide J1INBANK.
    7) Print withholding tax certificate vide J1INCERT.
    I do hope you will be able to overcome your problem.
    with best wishes
    Monoj

  • Regarding Change in Cost Center after Advance payment

    Hi,
    PO is created, against that PO Advance payment is given and payment is given to Vendor of advance.
    Now query is that the while generating PO wrong cost center is entered, and user want to change that.
    How we can solve this problem ?
    Regards,
    Akshata

    Hi,
    You cannot change the cost center in down payment entry, but can be changed in PO.
    Then again you have to use KB61 to do transfer posting from one cost center to another, since this will only post an internal CO ducment to adjust the balances from one cost center to another, assuming that CO update for Controlling is active in your system.
    Use down payment accounting document no in KB61.
    Regardz,
    Srinu

  • Advance Payment without milestone billing scenario

    Dear all friends
    In my scenario i want to get advance payment with the reference of my sales order but problem is that i m using standard scenario without billing plan. please suggest me how can i get advance from customer with the reference of my sales order
    Regards
    Shambhu

    Hi,
    Create a sales order in VA01.
    Goto  F-37 create down payment request (Optional).
    Enter document date and type DZ,customer number (sales order customer) .Enter amount, due on and
    Enter sales order number in sales document field and item number and save.
    Now goto F-29 -Post customer down payment.( you can create this document with down payment request and without down payment request also) 
    Enter document date, customer number,special G/L indicator A and bank account number.
    If you are creating this document with refernce to request then click on Requests field.
    Otherwise click on new item.  Enter sales document number and item and save.
    Note : OKEP t.code, Maintain G/L account in customer down payment column.
    Regards,
    Chandra

  • 100% Advanced payment

    Dear Experts,
    Down Payment is only allow for partial payment.
    What is the way to perform 100% advanced payment paid by customer ? 
    Kindly advise above problem. Thanks.
    Regards,
    Danny

    To apply an advanced payment to an invoice these are the workarounds that i propose:
    1. Down payment request: After you have paid the down payment request and you added the invoice go to incoming/outgoing payment and select both documents, the total will be 0 but in the Payments means add .01 cent otherwise won´t let you add the payment. And add the payment
    2. Down payment invoice: When you´re adding the invoice go to Total Down payment and add the down payment invoice allready paid, the subtotal must be the same or less than subtotal of invoice. If the total of the invoice is 0 then add .01 cent to the total and added the invoice.
    I hope this can help you.

  • Billing, advance payment?

    Hi,
    Please help me on this.
    The advance payment in reference to the Sales order is maintained in Accounts receivables.The details of down payment(advance payment) is captured in SAP.The amount of advance payment is shown when account for customer is reconciled.The problem occurs when this invoice is again printed , after the final account reconciliation, as no advance payment amount is shown on the invoice though the balance figures are accurate.
    With best regards,
    Archer

    Hi  archer naz
    Check the following Customizing settings  for down payment processing:
    Settings for the billing plan - To activate the billing plan function, maintain the materials, for which you wish to process down payments, with item category group 0005 (milestone billing). This gives the item type TAO via item type determination. The item type TAO calls up the billing plan function.
    You need to implement the following activities in the billing plan for down payments:
    Maintain deadline category - This determines the billing rule (percentage or value down payment) for the down payment request. The system assigns billing type FAZ (payment request) defined in the standard system with billing category P. (For the billing type FAZ there is the cancellation billing document type FAS in the standard system).
    Maintain the deadline proposal - Use the down payments that are due for the proposed deadlines.
    Maintaining a Pricing Procedure with the Condition Type AZWR:
    In the standard system the condition type AZWR is delivered for the down payment value already provided but which has not yet been calculated. You must include this condition type in the relevant pricing procedure before output tax.
    Enter condition 2 (item with pricing) and the calculation formula 48 (down payment clearing value must not be bigger than the item value) for the condition type AZWR.
    Before the condition AZWR you can create a subtotal with the base value calculation formula 2 (net value). If the condition AZWR is changed manually, you can get information on the original system proposal from the subtotal.
    Maintain the printing indicator - The pricing procedure can not be marked as a transaction-specific pricing procedure (field Spec.proc.) The condition type AZWR has the calculation type B (fixed amount) and the condition category E (down payment request / clearing).
    Maintaining the Billing Document - In the standard system there is the billing type FAZ (down payment request) and the billing type FAS for canceling . The down payment is controlled using the billing category P of the billing type. A billing type becomes a down payment request when the billing category P is assigned. You have to maintain blocking reason 02 (complete confirmation missing) for the billing documents and assign it to billing type FAZ.
    Copying control - Copying requirement 20 must be entered in copying control at item level for the down payment request. In the standard system the order type TA for copying control is set up according to the billing type FAZ for the item category TAO.
    Copying requirement 23 must be entered in copying control at item level for down payment clearing. In the standard system the order type TA for copying control is set up according to the billing type F2 for the item category TAO.
    Financial Accounting settings - A prerequisite for down payment processing is that the account is assigned to the underlying sales document. To do this, change the field status settings in Customizing as follows:
    Set reconciliation accounts (t.code OBXR) - For the `received down payments' and `down payment requests' from
    the G/L accounts you have selected, you should assign the field status definition G031.
    Maintain accounting configuration (t.code OBXB) - For the down payments (posting key ANZ in the standard system) and the output tax clearing (posting key MVA in the standard system), you must maintain the posting key.
    You must also carry out a G/L account number assignment for the tax account.
    Maintain the posting key (transaction OB41) - For posting key 19, set the sales order as an optional field !!!
    Maintain the field status definition (transaction OB14) - For field status variant 0001, field status group G031, set the
    sales order as an optional field !!!
    Assign the company code to the field status variants (transaction OBC5)
    Regards
    Srinath

  • Accounting enteries for advance payment

    Dear Experts,
    I have make all the employee as vendor in business partner, I want to give advance payment to my employee and I want to hit the down payment clearing account. Can you please explain me the financial entries passed in control account and others .
    Thanks and Regards,
    Jai

    Dear Sir
    This is in reference to solution given by yo, .I have some extra details after I make Service invoice as per your suggestion:-
    If I create Service invoice -Down Payment Invoice : I encounter Following Problems:
    1. Advance Payment to vendor account in Asset get involved in transactions as per requirement,but it doesn't show transactions in Vendor Ledger.
    2.I m not able to see how much Advance is pending for a particular Vendor.
    Prerequisite are:-
    1.  I have Created single account for all vendors in chrt of accounts(In Liability)
    2. Single account for advance to vendor too(In Asset)
    Thanks & Regards
    Saurabh Lamba

  • Advance payment report required

    Dear guru
    generally in our plant for advance payment we have to intimate the account department for release the payment against advance or PI or any other terms.
    i want the report which can show me that which supplier payment is pending (for advance only)
    at present i m using FBL1N. i didnt get the required report from this
    Regards
    Devesh

    Hi Devesh,
    There is no standard report to address just your specific requirement. However as others suggested you need to rely on the line item reports with specific selection criteria which you might already be doing.
    Else develop custom report to suit your specific requirements.
    Thanks & Regards
    Subhasish

  • Report for advance payment relevant purchase order

    Dear Sapgurus,
    Logistics people raise one purchase order and release procedure also from logistic teqm onlly after we need approval from finance head we had created one more release finance procedure how they will identify these are purchase order i have to pay advance payment is their any report can u please tell me.
    Regards
    Umi

    Amit kulkarni,
    For this requirement you have to do validation of the amount field for advance payment againest PO.
    i thiought this is only way to get your requirement
    May be this information is useful to you
    Regards
    Surya

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