Automatic Clearing with remainder

Hello all
We have a requirement to use automatic clearing to clear down customer accounts that show a credit balance, and leave an AB document on the customers account for the remaining credit balance.
Any thoughts
Warwick

Hi,
Do you mean clearing for incoming payment from customer? you can go to T code F-28 for incoming payment and clearing customer account balance. in F-28 you can change the document type which is you want to clear. I think the document type AB is not for customer posting, But it is for accounting document/general journal. The document type for sales invoice or when you posting customer account, it should be used document type DR and it is generated in standard SAP.

Similar Messages

  • Automatic Clearing with Differences

    Dear Friends,
    We have defined the tolerances for Clearing Differences and also assigned the GL Codes for posting of differences in the debit and credit items. However, when we do the clearing, we notice that the system is not clearing the line items that have the difference, but clears the line items which do not have difference. We notice in the additional log, the message appears, Account blocked - No clearing. When we check the GL in FS00, it indiactes "GL Account temporarily blocked" Message No. FH042.
    Could anyone help what needs to be checked. Thanks!
    Regards

    Hi Arjun,
    For your information and benefit there were two issues involved which were preventing the automatic clearing -
    a. The first was a very minor issue, the automatic clearing in the same GL Account was being carried out by another user and therefore the system was giving the error message - The Account is blocked.
    b. Secondly the issue was that the clearing differences GL Account had a Feild Status Group which had the 'Text Maintenance" as a mandatory requirement. Once we made it optional in the FS Group, the users were able to proceed with the Automatic Clearing with the differences.
    Regards

  • Automatic Clearing with Small Difference

    Hi all,
    I want to one GL Account to Automatic Clearing (f.13) with Small Difference consider with another GL account.
    Manual Clearing Working is fine.
    Regards,
    Spradip
    Edited by: spradip on Dec 20, 2011 1:24 PM

    you will have to setup the open item clearing config
    GL based tolerances
    tolerance grp
    assigning tolerance grp to users
    have a clearing GL to clear the difference amount.
    If these are setup correctly, the clearing is possible.
    once this config is setup, try manual clearing once and then use the same GL as part of F.13.
    if you have problems and If you are an ABAP savvy, try debugging and catch hold of what is it looking for....usually the above setting should help you clear.

  • Customer automatic clearing with down payment

    Dears,
           kindly help me regarding the following;
    we have the following case;
    customers come to store, choose a product, pay part of the price and the rest at home after delivery.
    I want to make automatic clearing for invoices, down payments, and payments. How to configure it ???
    Thanks in advance.

    Hi,
    Please read the below article
    [Clearing|http://wiki.sdn.sap.com/wiki/display/ERPFI/AutomaticClearingofOpenItemsF.13(SAPF124andSAPF124E)]
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  • Cannot make an automatic clearing with F.13

    Hi,
    I'm trying to make an automatic clearing using F.13, but there's a document that cannot be cleared - after performing the transaction, this document appears in the section "no clearing" inside Update run" Additional Log. On Update run" Error Log the message is "KI  222 Cost center xxx does not exist on 01.04.2011. I'm performing the step in the production run.
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    Thanks in advance.

    Hi Juli-
    I think cost centers are coming into picture because of exchange rate gain or loss accounts that are maintained in transaction OB09. In OB09 you would maintain GL Accounts for exchange rate loss or gain for the clearing accounts. Check the P&L Accounts maintained here for the account you are trying to clear first. Then look at KA03 and see if there is any cost center maintained. If there is no cost center there, you can check in transaction OKB9 if there is any automatic account assignment maintained. If there is a cost center here, you can go and check the validity periods in KS02 or KS03 and maintain the correct validity periods.
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  • Automatic Clearing with Payment Advice via EDI

    I am trying to automate the cash application process via the receipt of the customer inbound 820 (using message type REMADV, type PEXR2002).  I can successfully post payment, clear open items, and set up deductions relating to a specific invoice, but I haven't been able to post deductions unrelated to an invoice.  Our customers often take deductions not related to a specific invoice at the same time as remitting payment for invoices.  Has anyone managed to post 'independent' deductions when posting a payment advice via EDI?
    I also have one small problem selecting the customer open item for clearing.  Our billing document number does not equal the financial accounting document number.  We store our billing document number in the Assignment field, and this is the number the customer will reference when remitting payment.  I have not been able to find a way to use the customer's reference number (e.g. Assignment field) to select the open item.  Has anyone had any success using the Selection Rule assigned to the payer to select open items by something other than the accounting document number?  Or is this functionality only available for manual processing of payment advices.
    Any advice would be greatly appreciated!
    Thank-you,
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    Hi Kirti,
    We are in the process of implementing incoming payments through EDI 820. However we are getting the below error when we generate the IDOC.
    Formatting error in the field BKPF-WAERS ; see next message
        Message no. 00298
    Diagnosis
        During batch input or when executing CALL TRANSACTION... USING a screen
        field was filled with an invalid input format.
    System Response
        Processing was terminated.
    Procedure
        The screen field has the technical name BKPF-WAERS . The cause of the
        error is described in the following message.
        Correct  the appropriate BDC data."
    We tried to debug and but we got below
    In the 1st screen, the currency/ rate field comes up as blank. The value u2018USDu2019 was entered manually by me.
    The Amount comes as blank as well u2013 hence the transaction shows an warning message that the line will be ignored because of the 0 amount
    Lastly the following screen shows up and stops with the error message.
    "Different Currencies in payment advice and document header /USD.
    Any help is highly appreciated.
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  • Invoice documents are automatically clearing with clearing no"ALE-EXTERN"

    Hi,
    Whenever we post any invoice documents, those documents are clearing automatically with clg doc no "ALE-EXTERN". The thing is it is happening only in Quality system. There are no probs in DEV & PRD systems.
    Thanks in advance.
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    Dharani

    Hi Jan,
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  • Automatic Clearing with Special G/L transactions

    Hi experts
    I'm trying to run F.13 with Special G/L transactions "D" and the system shows me this response
    "Only accounts with debit and credit postings are included"
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    Thkz in advance!

    Hi
    This program for F.13 clears open items from customer, vendor and G/L accounts (in particular, GR/IR clearing accounts) automatically. It selects all accounts specified in the value sets that have debit and credit postings.
    The following items are **not** cleared:
    - Noted items
    - Statistical postings and special G/L transactions of the type bill of
    exchange
    - Items with withholding tax postings
    - Down payments can only be cleared if down payment clearing for the same amount has been posted. (this one holds good for you)
    Please check the same.
    Thanks and Regards

  • Automatic clearing with special G/L transaction

    Hi,
    Does anyone know to clear in mass customers that have line items with special G/L indicators?
    Regards,
    Ronan

    Hi,
    We are trying to clear customer accounts using F.13. The customer line items consist of Special GL entries and this is listed seperately by the program. Is there a tolerance that we need to setup to allow these entries to be included in teh clearing process?

  • Error when using automatic clearing (F.13)with foreign currency valuation.

    Hello all
    below is our problem, please suggest us a solution
    We are experiencing a problem when running the automatic clearing in SAP. Somehow, the system seems to clear (with no reason) open items created with the revaluation of foreign currency.
    Let's say that we run the valuation of open items in foreign currency for December 31, and we run the program to post the reverse entry as of  January 1 of the next year. As a result of this valuation, the system calculates a loss of 10 euros. Therefore, it posts a document with a debit entry of 10 into the Loss account, and a credit of 10 in to account where the valuation was carried out. This document has a posting date of December 31. The batch program also creates the reversing entry, this time a credit entry into the Loss account, and a debit into the original account.
    If now, we try to run the automatic clearing (F,13) on December 31 for those accounts, the system will create (automatically) a document on December 31, similar to the reversing entry that the valuation created, clearing at the same time, the first document that the valuation originally created.
    The final result then is that the valuation makes a posting, and we end up having two reversing entries. Does it make sense?
    In our scenario in the system P70, for MX10, we have a foreign currency valuation run on December 31st, which posted the document numbers:
    1)  5100004579/2008, for a total of  0 euros, and 240,483.17 MXN. Credit to account 11081108 Finavigate cash receipt bank collect.CMG MXN.Debit to account 18601000 Losses f.foreign curr.valuation on financial trans
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    3) After this, we run the automatic clearing with posting date 31.12.2008, and now, the system creates automatically the document 5000003236/2008, which clear the original document, 5100004579.
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    Thanks in advance
    sujatha

    To my knowledge you get do two things:
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    2. If you want to use all the GL accounts in F.13, then check the clearing procedure configuration and make suitable changes.
    With the info provided, this is the only thing I can suggest.
    Regards,
    ~Vishal.

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  • Electronic Bank Statement - automatic clearing via Assignment number

    Dear all,
    when posting our outgoing cheques, the cheque number is copied to the assignment field (via an automatic job). Our cheque numbers have 6 digits.
    When we are getting in the bank statement file  the cheque number is populated in the 'Note to payee' (same number in "Reference" field), but instead of 6 digits, the bank adds additional 6 digits / zeros infront of the cheque number. Meaning that instead of 005217 we get 000000005217.
    We want to use the automatic clearing with the link between 'Note to payee' and 'Assignment field'.
    The following settings were done in the system:
    1. Posting rules: "4 Clear debit G/L acct"
    2. Search string definition:
    1. 0 > ' ', 2. 0 > ' ', 3. 0 > ' ', 4. 0 > ' ', 5. 0 > ' ', 6. 0 > ' ', 7. # > #, 8. # > #, 9. # > #, 10. # > #, 11. # > #, 12. # > #
    3. Search string use:
    - Algorithm 015: Clearing Transaction: Selection Using Assignment
    - Target field: Payment Notes
    With those settings the system does not find the items to clear.
    Does anybody know what is missing?
    Thanks!
    R, Katharina

    We have uploaded MT940 file through /nff.5 .
    The posting which has happened after MT940 was uploaded is
    Dr  Main bank account ( 190220)  500 INR
    Cr. Bank Sub Control Account (190228)  500 INR
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    Dr. Bank Sub control Account (190228)      500 INR
    Cr. Customer Account                               500 INR
    Their is no other posting also with 500 in sub control account
    But these are not cleared automatically & reflecting in FEBA as to be posted.
    Now out 100 trnsaction the success rate of automatic clearing is 30%.
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  • Automatic clearing using MRKO

    I'm not sure whether this thread belongs in FI or MM but I just took a chance and posted it in MM.
    We have our normal GR/IR account set up for automatic clearing via F.13 once the WE and the RE are in balance.
    However, we have a different GR/IR account (211100) for our pipeline materials.  However, on the G/L side, once an MRKO document is generated, there is no clearing.  I tried to clear the WA docs against the MRKO doc,via F.13 but I was told that no clearing docs were generated.
    Is there anyway to effectively use open item management on 211100 to show which goods movements go with which MRKO doc and therefore which documents remain "open" with no liability created to the vendor.
    Any information you have would be greatly appreciated.
    thanks
    Josh

    Hi
    Can you send the steps for automatic clearing with tolerance limit
    I have done the following configuration and  still systems is showing error message difference is to large
    Define Tolerance limit for GL Account
    Define Tolerance Limit for Employee
    Assign Tolerance group to GL Master
    Define GL Account for Difference Posting
    Define Clearing Rule ( Account Assignment Basis)
    Regards
    Prem Prakash Sharma

  • Automatic clearing for bills of exchange

    HI,
    We are looking at ways to make a automatic clearing with special G/L indicator for bill of exchange.
    Does anyone who knows the way to make this recording from f.13 or similar tcode?
    Thanks
    Best Regards

    Dear Emanuele,
    In reference to your question about f.13 and automatic clearing with special G/L indicator for bill of exchange please note the following
    The clearing of special G/L processes e.g. BOE, requires a more complex treatment as you can find in the following description. Please also review the documentation of SAPF124.
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    o   Noted items
    o   Statistical postings and certain special G/L transactions (down
        payments and bills of exchange)
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    1) invoice (p. ex. TA: F-22)
    2) payment run (TA: F110 / F-36 / FBW2)
    3) presentation of BoE (TA: FBWE / F-33 - Discounting
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    4) clearing of document (TA: FBW4 / F-20)
    5) customer does not pay (TA: FBZG)
    Hope this information is helpful to you. I could not find any program for automatic clearing, you can check FBWD which is a manual process to clear bill of exchange.
    Kind Regards
    Soumya

  • No automatic clearing after cancel invoice VF11

    Dear All
    i have problem with SAP system, when i cancel billing VF11, accounting doc is created but no automatic clearing with the billing document, so status is still not cleared either the billing canceled.
    can anyone help me?
    Regards
    Aditya

    Hi,
    Please check the original document that needs to be cleared has already some clearing lines., i.e might have cleared partially.
    Also check the below notes;
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    and Note 400000 - FAQ: Transaction VF11: Cancellation of SD billing documents
    Regards,
    Amanullah

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