Amount to draw from down payment is not set in document currency
hi,
i always get the error "amount to draw from down payment is not set in document currency" when i try to update a draft of invoice with down payment.
i do the following:
1. sales order
2. down payment
3. income payment
4. delivery note
5. invoice
5.1 save as draft by di api
5.2 get draft by key
5.3 do some changes, for example change comments by di api
5.4 update draft by diapi <--- the error is thrown!
If i do this on screen everything works fine. But by sdk its not working.
System: SAP 8.8 SP00 PL20
Is there a solution for this problem?
best regards
Markus
Hi Markus,
What if you update the same draft from UI instead of by diapi? Do you still get error message?
Thanks,
Gordon
Similar Messages
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AP Down Payment Invoice not yet Draw Report
Hi All,
I'm trying to make a query of the AP Down Payment Invoice not Yet draw Report. Can any one tell me which table I should refer when I need to make a query? I checked the ODPO tables that's no field indicate that the Downpayment not yet draw. I also tried the ODPI table when I use that to draw the downpayment invoice to AP invoice. When I query that table it return me 0 line.
Please advice.
Looking forward advice and reply.
Thank you.
Regards,
Foong YeeAP Down Payment Clearing Account has debit balance if it is not drawn to AP invoice.
Use General Ledger Report,Select AP Down Payment Clearing Account,Select this G/L account,
Select reqd. posting dates,Click Ok.
Now you can see AP Down Payment Invoice not yet Draw Report. -
Close Open Amount on A/P Down Payment Invoice
Hi,
I have the following scenario:
I have created an A/P down payment invoice for 1000$
Create an Outgoing Payment for this A/P Down Payment Invoice for 1000$
This payment is closing the A/P Down Payment invoice
Create an A/P Invoice for 800$ - apply this amount from the A/P Down Payment invoice (updating Amount to draw to 800$). The A/P invoice will close.
The issue is how to get the money back from the supplier closing also the open amount of 200$ from the AP Down Payment Invoice.
I have tried to apply an A/P credit memo to the A/P Down Payment Invoice but the system does not display the open amount from Down Payment invoice.
Another way I have tried to create a manual A/P Credit Memo to BP and manually closing the open amount on A/P Down Payment Invoice but the system would not allowed me to cancel or remove the open amount on the Down payment.
Do you have any other ideas?
I am working with SAP B1 2007 PL42.
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Down payments status not cleared.
Hi,
We are working with down payments by standard customizing. Everything works fine if the Down payment request has status cleared before the invoices, however If the down payment request still with status not cleared the following invoices doesnu2019t get the down payment and we can bill all the items from the milestone billing and if the down payment still not cleared it never appear in the invoices. So at the end the sales orders have sent to the client a bigger amount. That is a situation is wrong and we would like to avoid in order to avoid a lot of problems with our clients because the system doesnu2019t give any warning informing about you have send to the client the 120% of the sales order, if we have bill a down payment request for 20%. Our understanding the system always should get the down payment in the invoices or at least give a warning when you finish the billing without clear the down payments. We would like to know the right way to manage this situation.
Thank you and best regards.HI Venkat,
Sorry Venkat. It is the clarance in F-54 not the Revesal.
After clearance, the amount 29.000,00 is posted to Vendor Spl GL. So nullified this account.
Once cleared, the amount is posted to Normal Vendor ac as 34.510,00 (Doc 1700000043)
So this doc is not picked in Payment Run.
Invoice amount is 49.623,00-. So the difference 15113 (49.623,00-34.510,00) should be cleared in Payment run. It is not done.
My assumption is there is the amount difference between Normal Vendor to Speial Vendor (34,510 - 29000). Is it the cause to not picked the doc 1700000043 in payment run.
Please advise what I can do?
Thanks
Venkat -
Value type 61 (Down Payments) may not be carried forward in FM area
Hi Friends,
We have implemented Fund management in FY 2011. My requirement is i want carry forword budget down payment to nex fiscal year , plz suggest to configuration step , Process and Impact on Existing system.
In FM budget When i m trying to carry forward down payment which is recorded under PO through T code - "FMJ_ANZ " system showing me error.
"Value type 61 (Down Payments) may not be carried forward in FM area 9000
Message no. FI741
Diagnosis
Due to the settings for the selected update profile or due to the Customizing settings for the closing operations in FM, no carryforward is allowed in FM area 9000 for value type 61 (Down Payments) in the commitment budget and/or payment budget.
Procedure
Delete the entry for this value type or select a different value type, assign an update profile to the FM area which allows this value type to be carried forward, or change the Customizing settings for the closing operations in FM.
Plz sugeest me config step, Process , and impact on existing scnerio.
Regards
RaheemHi Team ,
I have change Profile from "000102 to 000400 " and allow valu type 61 for carry forward in testing server after that budget down poayment carry forward to new FY successfuly ,
But when i am trying to make service entry sheet using ML81N system showing another error," 098 Changing the assignment of payment or commitment budget is not allowed" Snap shot is attached. is anything missed out.
plz sugeest me what have to do in this case -
Account 'Acquisition: down payments' could not be found for area 01
Hi,
In our PO there is a 8 line items. We want to create GRN by taking 2 line items at a time. It is Asset's PO and GRN. During GRN we select two line items check box including item OK check box. Click on Check button which shows as green signal. Click on POST button it shows error message as " Account 'Acquisition: down payments' could not be found for area 01". But previously lot of GRN were passed through this asset's GL account. But in asset accounting account determination is still exist against this asset. What is the probable solution ?
Regards,
SamratHi Venkat,
I want to clarify one thing this 'Acquisition Down Payment' for asset accounting is required for account allocations which are used in asset classes for assets under construction. But It is not an asset under construction. No GL account was maintained against this Acquisition Down Payment before the issue raised. Lot of entries were passed through the same GL account before. What is the reason for asking this type of GL account ?
Regards,
Samrat -
DP90 - Rebilling with down payment OSS Note 858703
Hello Gurus,
Even configuring customers test system according above mentioned OSS Note 858703 with order type TAF I do not get the process running.... When starting order creation (VA01) system doe not allow to enter sold-to and ship-to customer numbers.
This alone stops any testing.
Does anyone of you has experience or at least a clue what to do to resolve this? E.g. For testing I customized order type TA as ZTA and same same as order tpye TAF and it was possible to enter sold-to and ship-to party.
Any hind is very welcome as a customer waits for solution.
Many thanks in advance!!
Rgds, CarstenCarsten
I just found out the reason why the system does not allow to enter sold-to and ship-to customer numbers:
"There is no partner determination procedure" assigned to order type TAF". This seems to be the way SAP delivers this order type.
So go there and assign whatever is the procedure you used for your other orders or create a new procedure and assign it, it will work fine.
By the way billling with down payment is not implemented at my customer site, I just tested with TAF order and it was behaving exactly as you described.
Then on a hunch I went and saw if there is a Partner Det procedure and there is none.
Path: SPRO/IMG/Sales and Distribution/Basic Functions/Partner Determination/Set Up Partner Determination and then
Set Up Partner Determination for Sales Document Header/Partner Determination Procedure Assignment
Hope this helps you, cheers. -
Hi friends ,
My user has posted down payment using t.code F-47.
Now when she goes to clear those down payment she cant see tht document.
Any idea?Hi,
Go to line item report FBL1N and select the Special GL Transactions check box in the report and check whether the Down Payments are getting displayed for the Vendor. You can also display the document using transaction code FB03.
Thanks
Murali. -
Account Currency is not matching with document currency
Hi,
In Sales A/R Invoice Screen when Iam trying to add a document its giving an error by saying Account Currency is not matching with document currency.
(Item is an Excisable Item and Currency is BP Currency)
Pls let me know the reason.
Thanks&Regards,
Chakrapani Bandaru
9849290882Hello chakrapani bandaru,
Please set all the G/L accounts involved in the transactions to Multicurrency accounts (e.g. BP, revenue tax accounts etc.)
It means BP account, revenue and tax account
as well, even if there is 0% tax.
Please check Administration/System Initialisation/Company Details/ Basic Initialisation/Default Account Currency and make sure it is set toMulti Currency.
The exchange rate difference account should also be set to multi currency.
hope it helps.
Wilm Wang
SAP Business One Forums Team -
Down payment is not cleared with clearing amount?
Hi,
When I print the invoice after receiving down payment through F-29 and then clear this amount through F-39, and when I print the invoice for the same customer the Received amount for example $20 and cleared amount of $20 are printed as $40.
If some one help me to understand why this is happening ,and which field should show $0(or what ever the balance is), once the amount is cleared.
How to rectify this error in the invoice?
I appreciate your feed back.
wbr,
SunilHi Milind, The print is z development.The example is as follows,when we printed the Invoice for the customer,
Amount of invoice against the new sales order...$100
Down payment received ...$40
Balance .........................($60).
But earlier on we received down payment of $20, which was cleared by equal amount of $20.The amount of down payment should be now $0.
This is the issue, and then the Z report picks up this $20 amount which was received as down payment.Is there way we should pick up$0 in this field.Second question, where to pick this $0 and how to pick(any changes in the coding we have to make) for this $0 amount.
I hope this explanation is enough.Please let me know if you like to have more details.
Thanks.
wbr,
Sunil -
How to automatically 'draw' a down payment invoice into an invoice?
My customer would like to have their down payments draw into their invoices automatically, without having to click the '...' and display the down payments list to select. They only ever have one down payment for an invoice. Can this be done through formatted search or only through SDK?
Hi Pat,
You need to test out the exact scenario what you described initially in the thread on PL35 demo. Do the same steps in the PL44.
Check the following steps :
1) Create a Sales Order. Add
2) Goto the Payment Means from the Sales Order and enter the amountpaid.
3) The Downpayment is created.
4) Goto the AR Invoice and create Invoice based on the Sales Order (Copyfrom).
5) You will see that the Downpayment amount field is not filled in the AR Invoice.
However, when try to reproduce the same steps in the 2007A PL35, the Downpayment amount is displayed in the AR Invoice downpayment field automatically.
Regards,
Jitin
SAP Business One Forum Team -
PO down payment is not picking FI substitution rule.
Hi All,
We have an issue with PO down payment and clearing. We have a
substitution rule on line item level as per company code were default profit
center is set. But while doing ME2DP, profit center is picking from PO account
assignment and overriding our substitution rule. We did try with complete
document substitution rule also but not worked.
Clearing of the pre-payment is deriving the profit center of
the account assignment on the PO, overriding our profit center substitution.
This is only happening with PO down payment. Please let me
know any solution.Hi Rakesh
If the Down payment GL you are referring to is a Balance sheet account, your substitution should work.. How have you written your substitution? Can you give a screen shot?
But if you are referring to the Down Payment Cost Element assigned against your Controlling area, system is correct... For a cost element, PC is always derived from the associated CO object
br, Ajay M -
Down Payment entries not reflecting in J1INMIS report
Dear Guru's,
TDS deducted at the time of down payment made to vendor is not reflecting in J1inmis report.
Is J1INMIS report does not reflect down payment entries?
What will be the reason for this?
Which alternative report to followed for J1INMIS !!!
Waiting for your positive reply.
Regards,
Sany.Hi Sany,
To update Business Place & Section Code, execute the program given below. After execution of the program run T.Code J1INPP and your issue should get resolved. Let me know if this works.
Ask the Abaper to write the following Code & execute the program:
REPORT ZFI_BUP_SEC_CHANGE.
TABLES : BSIK,BSAK,BSEG.
parameters: PA_BELNR TYPE BSEG-BELNR OBLIGATORY,
PA_BUKRS TYPE BSEG-BUKRS OBLIGATORY,
PA_GAAHR TYPE BSEG-GJAHR OBLIGATORY.
PARAMETERS : PA_BUPLA TYPE BSEG-BUPLA NO-DISPLAY,
PA_SECCO TYPE BSEG-SECCO NO-DISPLAY.
PA_BUPLA = 'MUM'. (Note : Use the Business place & section Code Used
PA_SECCO = 'MUM'. in your company code).
START-OF-SELECTION.
PERFORM CHANGE_DATA.
END-OF-SELECTION.
*& Form CHANGE_DATA
text
--> p1 text
<-- p2 text
FORM CHANGE_DATA .
DATA : LT_BSEG TYPE TABLE OF BSEG WITH HEADER LINE,
LT_BSIK TYPE TABLE OF BSIK WITH HEADER LINE,
LT_BSAK TYPE TABLE OF BSAK WITH HEADER LINE.
BSeg updation
SELECT *
INTO CORRESPONDING FIELDS OF TABLE LT_BSEG
FROM BSEG
WHERE BUKRS = PA_BUKRS AND
GJAHR = pa_gaahr AND
BELNR = PA_BELNR.
LOOP AT LT_BSEG.
IF LT_BSEG-BSCHL = '25' OR LT_BSEG-BSCHL = '26'
OR LT_BSEG-BSCHL = '27' OR LT_BSEG-BSCHL = '28'
OR LT_BSEG-BSCHL = '35' OR LT_BSEG-BSCHL = '36'
OR LT_BSEG-BSCHL = '37' OR LT_BSEG-BSCHL = '38'
OR LT_BSEG-BSCHL = '39'.
LT_BSEG-BUPLA = PA_BUPLA.
LT_BSEG-SECCO = PA_SECCO.
MODIFY BSEG FROM LT_BSEG.
Write : / LT_BSEG-BELNR, 'Update For BSEG', LT_BSEG-BSCHL,
LT_BSEG-BUPLA,LT_BSEG-SECCO.
ENDIF.
ENDLOOP.
Bsik updation
SELECT *
INTO CORRESPONDING FIELDS OF TABLE LT_BSIK
FROM BSIK
WHERE BUKRS = PA_BUKRS AND
GJAHR = pa_gaahr AND
BELNR = PA_BELNR.
LOOP AT LT_BSIK.
IF LT_BSIK-BSCHL = '25' OR LT_BSIK-BSCHL = '26'
OR LT_BSIK-BSCHL = '27' OR LT_BSIK-BSCHL = '28'
OR LT_BSIK-BSCHL = '35' OR LT_BSIK-BSCHL = '36'
OR LT_BSIK-BSCHL = '37' OR LT_BSIK-BSCHL = '38'
OR LT_BSIK-BSCHL = '39'.
LT_BSIK-BUPLA = PA_BUPLA.
LT_BSIK-SECCO = PA_SECCO.
MODIFY BSIK FROM LT_BSIK.
Write : / LT_BSIK-BELNR, 'Update For BSIK', LT_BSIK-BSCHL,
LT_BSIK-BUPLA,LT_BSIK-SECCO.
ENDIF.
ENDLOOP.
BsAk updation
SELECT *
INTO CORRESPONDING FIELDS OF TABLE LT_BSAK
FROM BSAK
WHERE BUKRS = PA_BUKRS AND
GJAHR = pa_gaahr AND
BELNR = PA_BELNR.
LOOP AT LT_BSAK.
IF LT_BSAK-BSCHL = '25' OR LT_BSAK-BSCHL = '26'
OR LT_BSAK-BSCHL = '27' OR LT_BSAK-BSCHL = '28'
OR LT_BSAK-BSCHL = '35' OR LT_BSAK-BSCHL = '36'
OR LT_BSAK-BSCHL = '37' OR LT_BSAK-BSCHL = '38'
OR LT_BSAK-BSCHL = '39'.
LT_BSAK-BUPLA = PA_BUPLA.
LT_BSAK-SECCO = PA_SECCO.
MODIFY BSAK FROM LT_BSAK.
Write : / LT_BSAK-BELNR, 'Update For BSAK', LT_BSAK-BSCHL,
LT_BSAK-BUPLA,LT_BSAK-SECCO.
ENDIF.
ENDLOOP.
ENDFORM. " CHANGE_DATA
Thank You. -
Down payment doc not cleared in Payment Run F110
Dear Friends,
Document 1700000043 is a reversal of down payment which should be settle with final invoice 5400212994. Both documents have the same due date, but only 5400212994 was cleared with a payment run.
Please can anybody clarify why document 1700000043 was not cleared with a payment run.
I checked in Exception list and found error message as "No Payment possible because Items with a debit balance still exists; see job log"
User follow the below process:
1) Downpayment made as below on 08.10.2009
Vendor 29.000,00
LC El PaymClrng Ac 34.510,00-
Payables Tax Input 5.510,00
1) GR posgted on 26.11.2009
Engineering Service 41.700,00
GR/IR - Services 41.700,00-
3) IR posted on 26.11.2009 and Net due date 23.12.2009
Vendor 49.623,00-
GR/IR 41.700,00
Payables Tax Input 7.923,00
4) Downpayment Reversal on 26.11.2009
Vendor (PK 39) 29.000,00-
Venfor (PK 26) 34.510,00
Payables Tax Input 5.510,00-
Please check above process and let me know if any details are needed for further.
Thanks,
VenkatHI Venkat,
Sorry Venkat. It is the clarance in F-54 not the Revesal.
After clearance, the amount 29.000,00 is posted to Vendor Spl GL. So nullified this account.
Once cleared, the amount is posted to Normal Vendor ac as 34.510,00 (Doc 1700000043)
So this doc is not picked in Payment Run.
Invoice amount is 49.623,00-. So the difference 15113 (49.623,00-34.510,00) should be cleared in Payment run. It is not done.
My assumption is there is the amount difference between Normal Vendor to Speial Vendor (34,510 - 29000). Is it the cause to not picked the doc 1700000043 in payment run.
Please advise what I can do?
Thanks
Venkat -
Vendor Down Payment should not exceed Total PO Value
Dear All,
We want to restric the Vendor Down payment to total PO value and system must not allow to post the Down payment more that Total PO value.
Eg.
Material value - 1000
Tax 100
Other charges 150
Total PO Value - 1250/-
Now when we make down payment to the above vendor against the PO,the system must not allow us to make down payment more then 1250/-.
Do suggest.
Regards,Hi,
You need to write validation rule & user exit for checking PO amount with down payment.
Whenever you post a down payment with reference to PO, in PO header, there is a status tab where you can check the status of PO i.e down pymt made, GR done etc., so write a user exit on that basis.
Regards
Anuj
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