AR cash application - automatic
Hello ,
Is there a way that we can set- up automatic cash application for AR using tcode F110.
Please let me know the detailed procedure if anyone has done this kind of set- up.
Thanks.
Hello ,
Is there a way that we can set- up automatic cash application for AR using tcode F110.
Please let me know the detailed procedure if anyone has done this kind of set- up.
Thanks.
Similar Messages
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Automatic SAP Cash Application- for ACH incoming payments
Dear experts,
We have requirement to automatically apply cash for the ACH incoming customer payments. We have been using LOCKBOX for automatic cash application for Check incoming payments. Now we want to implement automatic cash application for incoming ACH payments as well. What are available best options? Can we do this through EBS?
Any suggestions are highly appreciated.
Thanks,
TinaHi Tina
I suggest to use a different GL code for incoming ACH payments and set this up using BAI codes from your banks EBS file. I believe you are not running EBS statement upload or manual load currently. Identify all the bank transactions and their related BAI codes with the help from your bank.
Thanks
Sekhar -
Cross - company cash application for Accounts recievables
Kindly let me know how to conduct an cross company cash application. Which transaction will best accomplish this .
I have set - up the cross - company clearing account between the 2 companies.
Thanks in advance.If I am not wrong, your company code A receives payment from customer and you want to clear the customer open item in company code B. If you have done the cross-company code clearing between these two company codes using T Code OBYA, then all you have to do is make the following posting in company code A.
Dr. Cash/Bank $100 (in company code A)
Cr. Customer $100 (in company code B)
System will automatically generate the following postings.
Dr. Cash/Bank $100 (in CoCd A)
Cr. Clearing with CoCd B $100 (in CoCd A)
Dr. Clearing with CoCd A $ 100 (in CoCd B)
Cr. Customer $100 (in CoCd B)
Clearing accounts are what you specify in OBYA.
Assign pts. if this answers your question! -
Automating AR cash application
Hi,
Currently all of our AR is handled manually and we are planning to automate AR cash application.We are in a situation where some of our customers send their payments referencing an invoice number and a large portion of our customers do not have an invoice number while sending their payments to the bank.Can we use lockbox functionality in SAP to auto apply the payments when we do not have an invoice number from the customer?Can we basically match on customer number and amount while applying the payments automatically?does anybody have an answer for the query above. I think it can be cleared through a matching criteria with customer having open-items. we can set the matching criteria in ob74. What i have a question is about how to configure auto-cash clearing and is there a different parameter to clear it in f.13. Thanks.
Jason -
Hi,
Can some one kindly let me know how can we perform a cross- company cash application .
The business wants to apply cash to company B for an invoice generated for company A .
Please let me know.
Thanks.hi Prepare cross company code transactions
SPRO financial accounting general ledger accounting business transaction prepare cross company code transactions
FI Customization (T. Code OBYA)
Give the company code 1: AML
Company code 2: ASL
Enter
Posted in AML
Cleared against ASL
Debit posting key: 40
Account debit: 200160
Credit posting key: 50
Account credit: 200160
Company code: 2
Posted in: ASL
Cleared against: AML
Debit posting key: 40
Account debit: 200161
Credit posting key: 50
Account credit: 200161
Save (or) (ctrl + s)
Save in your request
Co. Customization:
Assign company code ASL to controlling area AML:
Use the transaction code: OKKP
Select controlling area: AML
Select details button
Company code to controlling area select cross company code cost accounting
Document type: SA
Save
Save in your request
Double click on assignment of company codes folder:
Select company code: AML
Select copy as button
Change the company code to: ASL
Enter & save
Define adjustment accounts for reconciliation posting:
Path: SPRO controlling cost element accounting reconciliation ledger define adjustment accounts for reconciliation postings
Double click define accounts for automatic postings
From the menu select extras select controlling area
Give your controlling area: AML
Enter
Select change account determination button
Save
Give the account No: 400150 (FI/CO reconciliation account)
Save & save in your request
Specify document no. range for reconciliation posting:
Same path: (T. code: OK13)
Give the controlling area: AML
Select change intervals button
Select interval button
Give the No. range: 01
From No: 1 to 100000
Enter & save
Creation of cost centre (path: KS01)
Give the cost centre: Dept X
Valid from: 01.04.2006 to31.12.9999
Reference cost centre: dept A
Controlling area: AML
Enter
Change the name to dept X
Description, cost centre dept X
Person responsible: X
Company code: change to ASL
Save (or) (ctrl + s)
Ignore the message, press enter
Posting of salaries in company code AML (F -02)
Document date: 01.11.2006
Type: SA Company code: AML
Posting key: 40 Account No: 400100 (Salaries)
Enter
Amount: 100000
Cost centre: Dept A
Text: salary payment
Posting key: 50
Account No: 200105 (SBI current account)
Enter
Amount: u2018*u2019
Business area: AMH
Text: u2018+u2019
Document Simulate & save
Go and see the G/L account: (FS10N)
Give the G/L account No: 400100 (Salaries)
Company code: AML
Fiscal year: 2006
Execute
Select back arrow
Give the company code: ASL
Execute
Cross company code postings in FI
If outstanding expenses paid by ASL on behalf of AML u2013 Entries
In AML - Outstanding expenses A/C Dr
To ASL
In ASL Books - AML Dr
To Bank
Use the transaction code: (F-02)
Give the document date: 01.11.2006
Type: SA
Company code: ASL
Posting key: 50
Account No: 200105 (SBI Current Account)
Enter
Give the amount: 5000
Business area: AMH
Text: Out standing expenses payment on behalf of AML
Posting key: 40
Account No: 100500 (Outstanding expenses)
New company code: AML
Enter
Amount: u2018*u2019
Business area: AMH
Text: u2018+u2019
Document Simulates & Save (or) (ctrl + s)
Double click on 3rd line item
Give the business area: AMH
Text: u2018+u2019
Select next item button
Business area: AMH
Text: u2018+u2019
Save (or) (ctrl + s)
Select continue button
hope this gives you a clear picture ...
rgds
Jay -
Whenever i start my ipad2 the applications automatically starts to open and close automatically jumps from one screen to another cannot operate the ipad at all, tried switching off and back on again, also restored the ipad but of no use
try restart
http://support.apple.com/kb/HT1430 -
Segregation of Cash application and application of on account AR payments
Hi Friends,
We have a requirement to segregate cash application to customer accounts and application of on account payments from customer account. The requirement is coming from Internal audit. They want a process where a group of users can apply payments to the customers , they can apply payment directly to invloice if they know it. But if they don't know the same, they can post on account to the customer. Another group of users (collectors) can call up customer and find for which invoice, the payment needs to be applied and can clear on account payment to an invoice. In FI module, application of payment to customer can be done by using TR code F-28 and account clearing can be done using Tr code F-04/F-32. These two functions can be segregated by restricting access of F-28 to only cash application group. But if the collector wants, he/she can post to cash account using Tr code F-32/F-04 also. SAP does allow to enter any GL Account in clearing Tr codes also so it does not seem possible to segregate these two functions just by restricting access to Tr code F-28. Restricting access of collectors to all GL Accounts may not work as they may have to post exchange rate gain/loss which are GL Accounts. Has anyone dealt with such situation and how was it solved? Any suggestion would be helpful.
Thanks and regards,
PinkyHi Friends,
We have a requirement to segregate cash application to customer accounts and application of on account payments from customer account. The requirement is coming from Internal audit. They want a process where a group of users can apply payments to the customers , they can apply payment directly to invloice if they know it. But if they don't know the same, they can post on account to the customer. Another group of users (collectors) can call up customer and find for which invoice, the payment needs to be applied and can clear on account payment to an invoice. In FI module, application of payment to customer can be done by using TR code F-28 and account clearing can be done using Tr code F-04/F-32. These two functions can be segregated by restricting access of F-28 to only cash application group. But if the collector wants, he/she can post to cash account using Tr code F-32/F-04 also. SAP does allow to enter any GL Account in clearing Tr codes also so it does not seem possible to segregate these two functions just by restricting access to Tr code F-28. Restricting access of collectors to all GL Accounts may not work as they may have to post exchange rate gain/loss which are GL Accounts. Has anyone dealt with such situation and how was it solved? Any suggestion would be helpful.
Thanks and regards,
Pinky -
Why do some applications automatically open at startup
I just installed mountain lion. I noticed that when the computer starts up microsoft windows and excel open automatically. I have another application that does it sometimes as well. why do some applications automatically open at startup? How can I change this?
Quit them before shutting down the computer, and check the list of login items in the Users & Groups pane of System Preferences.
(104505) -
Accounts receivables - Cross company cash application - Need help
Hello,
They are applying cash to an invoice to a diff company- code . For e.g if there is an invocie in comp A ( cust debit and Rev : credit ) but the cash account is of company B.
These are the documents which it creates
Original Invoice :
COMPANY A,
Customer debit : 100 dollars
Revenue account credit : 100 dollars.
After CASH application:
cross - company document created : 100000
company A, customer credit : 100 dollars
inter company : 100 dollars
company B cash account debit : 100 dollars
inter - comp account credit : 100 dollars.
The thing is when I pull up the customer from company A , it still shows in open items list , but the fact is it is cleared in a diff company.
What do I need to do to remove it from the open item list, or what is the correct procedure .
Please let me know how to resolve this as it is affecting a custom Aging report.
Thanks in advance.i am testing this , can u pls tell me how do i clear an invoice from a diff company code cash account.
thanks. -
Payment difference in cash application
Hi Gurus,
How to restrict users to post payment difference of more than 10 while doing cash application f-28.
System should not allow to use charge if difference for more than 10.
Please help me.System should not allow to use charge of difference option in f-28.
Thanks -
I just bought macbook pro with 10.8.3 os. When i start the system, all applications automatically start up as well! How can I turn them off. I checked the user settings and no application is set tom open automatically!
You have 14 days to return the computer w/no questions asked. Plus you have 90 days of FREE phone tech support on top of your standard 1 year warranty unless you also purchased AppleCare which gives you an additional 2 years of coverage plus FREE phone support.
Strongly suggest that you take FULL advantage of the above before it runs out. Let Apple deal w/the problems. -
Can't stop applications automatically starting in user account
I created accounts for each kid.
Parental control is active, but no restrictions on which applications they can use; just website restrictions and time limits.
Allowed them to modify the dock.
Each time they log in various applications automatically start and removing them from the startup list does not seem to solve the problem, and one is not even on the list.
The "re-open windows" check box is NOT selected when they log out and I watched them quit the applications before logging out.
Example: for one account iTunes Helper always shows up on the startup list... I try to remove it in their account and it just pops back up... this appears to cause iTunes to autostart each time the log in... annoying.
Example: same account, the System Preferences always start up... fortunately it is locked so the kid can modify anything. But again, annoying.
I propagated read/write permissions through their account folders (thinking maybe some settings are not being recorded)... but no luck...
I may just try to re-create their accounts but was hoping to find the answer to this most perplexing issue.
Thanks,
mkAha! Even though they had permission to read/write their files, apparently the ownership was not theirs on all of the files, this must have restricted the mods to their account.
Thanks for the "jog".
Background:
This permission state stemmed from a full re-build/re-store I did about a year ago when the hard drive crashed (with encrypted files in the my account, no less)... The backups were out of date (long story) and it took about a week to recover and re-assemble the sparsebundle bands from the broken drive (I only lost 12 pictures!... Disk Warrior really helped with that one!)... anyway I managed to install a new drive and re-stored all of the accounts, but apparently some of the library states had me as the owner... If I think long enough I probably remember how that happened.
Again, thanks for "remembering" for me ;-)
mk -
What i want is when i run bsp application automatically is should open with
Hi friends,
In BSP when we run a application the browser will open.
When it open if i want to full screen i have to press F11.
What i want is when i run bsp application automatically is should open with fullscreen -F11.
How to code this in BSP.
Pls suggest.Not exactly full screen but resizing to maximum:
<S CRIPT language=JavaScript1.2>
<!--
* Auto Maximize Window Script- © Dynamic Drive (www.dynamicdrive.com)
* This notice must stay intact for use
* Visit http://www.dynamicdrive.com/ for this script and 100's more.
top.window.moveTo(0,0);
if (document.all) {
top.window.resizeTo(screen.availWidth,screen.availHeight);
else if (document.layers||document.getElementById) {
if (top.window.outerHeight<screen.availHeight||top.window.outerWidth<screen.availWidth){
top.window.outerHeight = screen.availHeight;
top.window.outerWidth = screen.availWidth;
//-->
</S CRIPT>
In the code remove the space between s and cript -
Hello,
We will be doing manula cash application before going onto lockbox, is there are fast way or better way for maunal cash appl other than f-28. please let me know .
thanks.hi,
isn't this clear cusotmer as opposed to cash app, just like f-44 for vendor clearing between document . -
How cash application in AR is better then the standar process of Payment clearing
how cash application in AR is better then the standar process of Payment clearing...?
Hi Bharti,
You would have to elaborate your question with examples, for us to help you better.
BR,
Zubin
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