AP - Vendor open item not showing

Hello,
  It tells me no open items when i try to do an outgoing payment via either automatic or manual , the open item report clearly shows one document ( invoice ) as open for the same  vendor.
can anyone let me know what is the cause .
thanks in advance.

Hi,
Please check those items are selected in f110 proposals.
Please delete the unused proposals to avoid the reported issue.
please check the same at 152813
Regards
madhu M
SDN-WIKI-PAGES
http://wiki.sdn.sap.com/wiki/x/UgTpCw  (RUPEE WORD FORMAT)
http://wiki.sdn.sap.com/wiki/x/8oMEDg  (J1INEMIS )
http://wiki.sdn.sap.com/wiki/x/2BAMDg  (J1INACKN )
http://wiki.sdn.sap.com/wiki/x/3xAMDg  (J1INCCREP)
http://wiki.sdn.sap.com/wiki/x/6xYODg  (J1INREV  )
Edited by: M Madhu on Nov 18, 2011 10:17 AM

Similar Messages

  • Vendor open item not displayed in F-44

    Dear Gurus,
    I have vendor open item (posted via MIRO). Item is displayed correctly in FBL1N and is also in table BSIK -  but item is not seen in F-44.
    Please help
    Pavel

    Hi,
    Please check those items are selected in f110 proposals.
    Please delete the unused proposals to avoid the reported issue.
    please check the same at 152813
    Regards
    madhu M
    SDN-WIKI-PAGES
    http://wiki.sdn.sap.com/wiki/x/UgTpCw  (RUPEE WORD FORMAT)
    http://wiki.sdn.sap.com/wiki/x/8oMEDg  (J1INEMIS )
    http://wiki.sdn.sap.com/wiki/x/2BAMDg  (J1INACKN )
    http://wiki.sdn.sap.com/wiki/x/3xAMDg  (J1INCCREP)
    http://wiki.sdn.sap.com/wiki/x/6xYODg  (J1INREV  )
    Edited by: M Madhu on Nov 18, 2011 10:17 AM

  • In vendor line item not showing withholding tax amount and withholding base

    Hi Gurus,
              When i am using T,code FBL1n for details clear item,in line item doesn't showing withholding tax amount and withholding base amount for some vendors when i am using FB03 there showing tax amount and base amount,in option is there.plz help me,its very urgent.
    Thanks & regards,
    Dharma.

    Im not sure but may be its because in the config. of 1099 Withholding tax we usually say that the with holding is to be posted only after payment of the open items.
    So, lets try this. Look at if the documents which are showing withhld tax in FBL1N if they are paid or not.
    this would give us some help or hopefully the answer..
    regards

  • Vendor open items not appearing in F-44 for clearing

    Four line items appearing a past due in the vendor account is not appearing during clearing in F-44. The other line items are appearing. Another finding is that these four line items pertain to previous fiscal year. Is there any setting/config that is disabling these previous yearu2019s line items to appear during clearing.
    Thanks for your help
    Regards
    Prasanna

    Hi,
    Yes, I do agree with Ravi's comments.
    Go to F110, choose the payment run by pressing F4.
    There you might see some proposal with status as Proposal created. This means proposal has been created but no postings were made against that proposal.
    So choose that proposal
    Now go to menu item -Edit->Proposal-Delete...
    After deleting the proposal, now try F-44.
    This info might help you.
    Thanks,
    Srinu

  • Reg: Open items not showing in F-44

    HI all,
    I want clear open items using with f-44 but some of the open items are messing. i checked in FBL1N all open items are shwoing i want see all open items inf-44 how to see plz help me
    with regards
    JK Rao

    Hi
    You can remove the Normal OI check box in transaction f-44 and try if you get all the open items.
    Thanks
    Ashok

  • Conversion of Vendor open Items

    Hi Experts
    I am working on FDS creation in regard to the Conversion of Vendor Open items ( not balances ).
    SAP Version 4.5 to ECC 6.0 Upgrade
    Can you please let me know if there is SAP standard Procedure or What are the different ways to do it ?
    Thanks
    Meenakshi.N

    Hi Dianne
    I am using LSMW .. with BAPI   by name   ACC_INVOICE_RECEIPT , which mimics the F- 43 process.
    I think it needs to have set up of the In bound Idoc Set up Process.
    Can u please explain me in  step wise how to set up the in bound I doc process regarding this conversion ?
    Some guidance on mapping the fields.. is really appreciated.
    Thanks
    Meenakshi.N

  • Unable to clear the vendor open items becasuse it is not showing as open ln

    Hi,
    I ran APP in F110 and it the status was
    Pararmeteres have been entered.
    payment proposal has been created
    payment proposal has been edited.
    payment run has been carried out
    posting orders:1 generated and 1 created.
    I edited a wrong item,so I cancellled the payment run.
    But when I try to make payment for this item in vendor open item list it is showing as open item but in F-44 it is not coming as open items..
    How I will clear this Item?

    Hi Smruti Mohanty,
    First you have to delete the payment proposal in F110 what you created and deleted that one ,why because the item is stored in that proposal so we cant get that in F-44.
    You can Clear this issue through this way.
    now i am giving how the deletion of proposal steps in F110
    For that select Run date and give identification .next keep the cursor on the proposal and go to edit >Proposal>Delete ,same for parameters and payments also.
    May be this information is useful to you
    If you have any doubt feel free to ask
    Regards
    Surya

  • Vendor Open Item Was Not Offset After a Replacement Check

    Hi FI Guru,
    We have an issue with vendor replacement check.  Our vendor open item still apears in FBL1N after a replacement check is paid.  We initially issued a check against a vendor invoice and we had to void that check because due to check printing problem.   The check was cancelled in FCH8.  We then issued a replacement check in F110.  When I displayed open items for the vendor in FBL1N, the vendor invoice still showed up.  The replacement check already sent to our vendor.  So we have to apply the payment to the vendor's invoice.  It seems the second transaction (for the replacement check) is incomplete because I dont't think it hits our bank account.
    Here are my questions:
    1) Is there another transaction our user needs to offset vendor invoice?
    2) If we have to fix it manually, what is the best option to offset the open vendor invoice and still be able to hit our bank account.
    Any help is appreciated. 
    Thanks!!
    Reiling

    Hi,
    In order to change the Open Item Management for a G/L account using
    ZFSEPA02 the line item total(Total of open items)for this account
    should match/tally with the account balance for this account (FS10),
    otherwise the open item activation will not be possible.
    Unfortunately as per note 175960 you find reports RFSEPA02/ RFSEPA03
    are no longer supported as of release 4.5A.
    ALTHOUGH you can find a possible solution on how to tally the line items
    to the balance in the NOTE 403744.
    1.  Active New General Ledger
             This note applies ONLY WITH RESTRICTIONS to Release ERP 2004 or ERP
             2005 with activated New General Ledger and activated document
             splitting.
             In these releases, it is not currently possible to subsequently
             activate the open item management under the specified conditions.
             The only option currently available is to set up a new account with
             open item management and to use this instead of the original
             account.
             However, it is also possible to deactivate the open item management
             using report ZFSEPA03 under the prerequisites described below.
         2.  Migration to the New GL:
             If you are planning to migrate to the new General Ledger using a
             migration type that enables the use of document splitting, ensure
             that in Phase 1 and Phase 2 NO changes are make to the open item
             management. Phases 1 and 2 indicate the period between the migration
             date and the end of the actual migration (the "Migration Completed"
             indicator is set)

  • Vendor open items appearing in FBl1 but same documents not appearing F-44.

    Hi,
    Vendor open items appearing in FBl1 but same documents not appearing F-44.
    Please help me in this.
    Thanks
    GP

    Hi,
    F-44 is used for clearing vendor - header data. Check if there are both debit and credit entries for the vendor and if it exists then clear using F-44. Check the entries correctly in FBL1.
    regards,
    radhika

  • Vendors open items are not appearing in clearing

    Hi All,
    I am able to see 10 open items in FBL1N (Vendors' open Item), but when try to post the outgoing payment through manual clearing, it displays only 6 open items. This is happening for very few vendors.
    Please help me to get rid of this problem.
    Thanks
    Manish

    Hi Manish,
    Please check that the payment is scheduled in the APP. If it is there, then you can not see those line items while trying to do manual clearing/ payment.
    You can delete the particular payment from Payment Proposal and only after that you would be able to see those specific line itmes in manual outgoing payment.
    Thanks

  • Possible to clear vendor open item against already posted payment document?

    Hi
    Can you advise if it is possible to clear an open item against already posted payment/clearing doc? Here is the background to the scenario:
    An invoice was posted with transaction FB60. This was subsequently picked up in the payment run F110 and cleared by payment document number 200005678. The item went to the bank on the paymnet file and was paid out to the vendor. The transaction reference, which appeared on the incoming bank statemnet was the payment document number 200005678.
    Subsequently it was discovered that the original invoice should have been posted with reference to a PO using MIRO. The requirement now is to reverse the paymnet documnet 200005678 in SAP, then reverse the document that was posted using FB60. After this the invoice will be posted using MIRO. This will create an open item on the vendor account.
    This item will not be piad out again. Therefore the requirement is to try clear that open item against the previously posted payment document 200005678.
    Is there any way to clear this vendor open item against the originally posted payment document 200005678?? Or any other advice on how this scenario can be handled in SAP?
    Thank for your help.
    Mike

    Hi,
    I tried that option in our test system. I ran FBRA and entered Paymnet Documnet Number (+Clearing Doc Number), Company Code, Fiscal Year.
    Then chose menu option Clearing -> Reset Cleared Items.
    The system pops up a window asking for a reversal reason and reversal date.  I use 01 and posting date of today.
    The system now posts another cleared document. That document places the invoice as an open item on the vendor account. It does not place the Payment Document as an open item on the account.
    When I go to F-44 only the open vendor invoice is showing there. There is no open paymnet document.
    Is there perhaps some configuration setting that stops the placement of the paymnet document as an open item when reset?
    Thanks for your help again.

  • Vendor open items aging list - Reg.

    Hi,
    My client is requesting a transaction in SAP which can be used to produce a Vendor open items aging list and the output should be exactly the same as it is for the Customer open items aging List (transaction S_ALR_87012178). Moreover, It is essential for him to have only one line per vendor. He does not want to  find a report in the accounts payable side that looks like the one which he mentioned for the accounts receivable side.
    Since this is an urgent ticket, can any body help me in this regard.
    Thanks,
    Prasanna
    Moderator: Please, search before posting

    Dear expert
        Reference from sdn forum
    You can customize the vendor report to show the items overdue per vendor by using the following steps
    1. Create a form using T Code - FKI4
    In this form ( two-axis structure) provide the details for each column as per your Client requirement - Due from 0 - 30 days
    etc. You can create a column (using formula method) at the end by adding the previous columns, this will give you total
    amount of overdue items for each vendor
    2. Create a report using T Code - FKI1
    Based on the Form created in the above step. Make additional selections based on client requirements like document type,
    company code, account type, currency etc. Execute the report.
    The following link will give provides detail steps for the creation of the aforementioned form and report.
    Re: AR aging report (summary by customer)
    Vendor Aging Report
    Regards
      Ajeesh.s

  • F-53 manual clearing vendor Open Items

    Please help me,
    When i saw vendor open items in fbl1n sys gives open items, i will try to clear that open items (F_53) sys gives message there is no open items,
    Regards,
    TML

    Hi Swati,
    The openitems which is showing in vendor account might be the spl gl transactions like advance payment, which are not cleared so far, go to F-44 and clear that spl items.
    hope it helps you,
    Regards,
    kishore

  • How to clear vendor open items if vendor invoice currency and payment currency different

    Hi All.
    How to clear vendor open items through f-44 if vendor invoice currency is EUR , payment currency is USD  but local currency is INR
    while clearing through f-44 system showing error as "to large for clearing clearing is not possible"
    I checked all configuration, configuration wise no problem
    BR.
    Chandra

    Hi Chandra,
    You chose any one of the currency i.e. EUR/INR/USD for clearing in F-44. After selecting line items for clearing, system will show a difference. Click on over view button and manually write off the difference by selecting any one account i.e. dummy or small diff.account, after that click on process open items then system will show the difference 0 and simulate the document, here system will post gain/loss exchange GL postings along with other line items. After save the document, manually pass journal entry to dummy account and gain/loss account. I have explained clearly in the below example.
    Invoice is in USD - 1000 & INR - 60000
    Payment is in INR - 60000
    Now I am going to clear these in INR currency in F-44 on 31.03.2015. On this date the exchange rate for USD is 60.10. At the time of clearing system will post the below entry
    Vendor A/c Dr 60000 (invoice)
    Vendor A/c Cr 60000 (Payment)
    Gain from exchange rate A/c Cr  100 (60000 - 60100)
    Small diff.write off A/c (or) Dummy A/c Dr 100
    After done the above posting, we have to pass below manual JV in FB01
    Gain from exchange rate A/c Dr  100
    Small diff.write off A/c (or) Dummy A/c Cr 100
    Regards,
    Mukthar

  • Vendor open items report without page break after changing vendor account

    Hi,
    I would like to get the vendor open items report without pagination when the vendor account changes.
    The option of deleting the * mark in the Filter page is not valid for me, because this way the vendor's name dissappear. I mean, it would be ok if I could show in the output of the report the name of the vendors.
    Thanks in advance.

    HI,
    If I understood your issue correctly then in the report S_ALR_87012085 is a field "Summarization level (0-4)" in the output controls.
    You just have to set this field to the value '2'.
    When you set the field to two, the page break will first executed, when the page is "full".
    If you want to see information about the "Summarization level (0-4)" field, you just have to set the cursor in it, and press F1.
    I believe this answer solve your problem.
    Please assign points if it useful.
    Regards
    Ravinagh Boni

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