Automatic open item clearing for vendor/customers

Dear All,
For My client they want Automatic clearing process for vendor & customer Open item. What are the configuration settings i have to do for this how it will be process.
please guide me to do this process.
girija

Hello,
For my understanding:
1. You mean how you can post icoming payment in an efficient way when you have a lot of open items per customer? Right?
What information do you get from customer? invoice number? If yes you can search per invoice number and post partial payment.
2. PDC cheque? Do you mean a post dated cheque. Well I think that this customer is a late payer.
The date when you get the mony on your bank account is relevant! In my opinion.
I do not know your local GAAP rules. Normally you bring cheque to bank and the next day you have incoming payment on your bank account. Usually the bank account papers are posted with document date. As an instance: bank account papers from 18.11.2013 here document date and posting date ist 18.11.2013.
BUT: In this case I would ask your local auditor how to handle this, and what are the issues you have to take care.
3. I have sent the material. Sorry, forget email one this was German version, last email ist English version.
all the best Erwin

Similar Messages

  • Reg:Tcode for G/L Account open item clearing

    hi all
    what is the t code gl account open item clearing.
    regards
    jk rao

    Dear:
    F.13 for automatic open item clearing.
    F-04 for posting with clearing manually.
    F-03 for GL account clearing manually which be in open item managment

  • Open item clearing with FBCJ

    Hello all,
    accoording to note 532888 it's not possible to do open item clearing (with vendor and customer postings) with t-code FBCJ. My client want's to do this cleaning in FBCJ.
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    I think the SAP Note explains it quite clearly!
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  • Vendor open item clearing

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    Hi
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    Dear Forum,
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    Edited by: M V Narayana Raju on Sep 17, 2010 2:36 PM

  • Blocking line items while open item selection for clearing

    We would like to block open items with one particular special GL indicator during open item selection for clearing.  The SAP transaction code is F-32
    Regards
    Ramesh Nalamada

    Hi Ramesh,
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    Do not forget to award the points please.
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  • Problem abt automatic clearing for vendor

    Dear all,
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    Hi All,
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  • Automatic clearing for Vendors F.13

    Dear All,
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    Regards,
    R.Ramakrishnaraj,

    Hi,
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  • Inter company AR/AP open item clearing - Urgent

    Hi,
    my client is having 3 company codes, these companies exchange goods/services for which intercompany vendor and customer is billed.when it comes to clearing of open items in intercompany vendor/customer client demands some automated approach to reconcile the vendor/customer line items in  another company(both company codes are in the same instance) and also to clear these line items.
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    thanks in advance for the help

    Hi Santosh,
    The answer to your question is yes. This is what you need to do.
    Execute transaction code <b>OBYA</b>, when prompted, type in 1st coy code, say <b>A</b> and then 2nd coy code, say <b>B</b>. This would take you to the "<b>Maintain FI Configuration: Automatic Posting - Clearing Accounts</b>" screen.
    In the first frame, where you have
    Posted in : A
    Cleared Against : B
    <u>Under <b>Receivable</b></u>
    Debit Posting Key : <b>01</b>
    Account Debit : Account Number (The account can be a G/L account, a <b>customer</b> account or a vendor account)
    <u>Under <b>Payable</b></u>
    Credit Posting Key : <b>31</b>
    Account Credit : Account Number (The account can be a G/L account, a customer account or a <b>vendor</b> account).
    In the second Frame
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    <u>Under <b>Receivable</b></u>
    Debit Posting Key : <b>01</b>
    Account Debit : Account Number (The account can be a G/L account, a <b>customer</b> account or a vendor account)
    <u>Under <b>Payable</b></u>
    Credit Posting Key : <b>31</b>
    Account Credit : Account Number (The account can be a G/L account, a customer account or a <b>vendor</b> account).
    So, if you are using the Customer/Vendor approach, company A must be set up as both a Customer(Use Txn Code<b> XD01</b>) and a Vendor(USe Txn Code <b>XK01</b>) in Company B and vice versa.
    Once you have completed this set-up, you can then use transaction <b>F.13</b> and/or <b>F13E</b> to carry out your automatic clearing.
    However, if you intend to use the G/L approach, then the account numbers would be Inter-coy G/L account for each coy code as defined in the chart of accounts.
    I hope the above helps.
    Do not forget to award the points please.
    Regards,
    Jacob

  • New GL open items clearing

    Hi guys,
    Does anyone can help with the following:
    When clearing open items of the vendors or customers, system makes postings to GL accounts, although all account assignment objects (GL accounts, profit centers and etc.) are the same. In the old versions (no new GL activated) there is no posting to GL accounts.
    P.S. Document splitting is activated.
    Thanks.

    Hi,
    Thanks for your answer. Yes there is no effect on ledgers, but actually my question is, why the system works on that way.
    Apparently there are some differences when using new GL, but I can't understand what cause these differences, especially in this case.

  • Activate Open Item Management for a tax GL account

    Hi experts
    I have tried different options and explored forums but haven't been able to find the solution as yet.
    I have some tax GL accounts (Tax Category field in their GL master is < or > i.e. Input or Output Tax Account). There have been postings to these accounts but these accounts are not open item managed. To perform clearing for these accounts, I need to activate OIM for which I'm trying FAGL_ACTIVATE_OP but the system gives me error"
    "Not possible to determine tax indicator in company code xxxx
    Company code xxxx is not considered for the activation"
    When I further drilldown the error, i find the following information:
    Diagnosis
    Postings to the selected account require a tax code. On the basis of the company code data (T001), the system tried to determine a tax code for zero tax. However, there is no such tax code stored for the company code.
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    Specify the tax code for zero tax in the company code. You do this in Customizing for Financial Accounting Global Settings (New) under Assign Tax Codes for Non-Taxable Transactions.
    I have checked settings in OBCL for Non-Taxable Transactions and found that I0 and O0 are maintained for Input and Output tax (also tax jurisdiction). In Table T001 I also find these entries so these seem to be complete.
    Can somebody please help me sorting out this issue.
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    Moazzam

    Hi,
    Some G/L accounts cannot be managed on an open item basis,
    specially G/L accounts that are used in account determination for
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    accounts, raw material accounts, reconciliation accounts, profit and
    loss accounts).
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    conversion of a tax account to open item management.
    Processes as the posting of the sales/purchases tax payable do not
    process any clearing transactions therefore the open item management is
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    output vat tax account, otherwise it would prevent subsequent processes
    on the actual open items (Customer or vendor). The only tax account on
    which the open item management should be possible is the G/L account of
    the deferred tax.
    Hope my information was helpful for you.
    Regards,
    Cristiano

  • Open item clearing manually F-44

    Hi Gurus,
    I am having a problem with F-44 while clearing the open item manually.
    I have an open item for Rs. 5000 for a vendor X and i also have payment (paidn on account - without clearing the open item) in my vendor X Rs. 5000.
    When I clear the open item with F-44, the clearing is happening perfectly and also creates a cleared document.
    But when i simulate the F-44 before saving it is not showing any entry also when I open the document with FB03 after saving I cant see any entry in it.
    Please advise me how to set it right.
    Thanks
    Deepak

    While clg with F-44, give sp.GL Indicator.
    no line items displays in first instance.
    Go to Document -> Simulate.(If Reqd do it twice)
    Then u will get the desired line items...Then don't save ...but post the simulation & doc nop will be generated...the same will be displayed with FB03
    Try it out if any problem occurs do revert
    If possible try to be more clear with problem...
    Do Reward if its helpful
    Regards,
    Arpit
    Edited by: Arpit Kothari on Feb 11, 2008 2:10 PM

  • Customer Open Item clearing Line Layout

    Hi
    the user uses F-32 for customer open item clearing and the following are the fields are available in the line layout.
    Assignment, reference, Doc no, doc type,posting period, doc date, posting date,gross amt,  cash discount, cash Discount %.
    Along with above fields, our business user wants to view the "document header text"  in the line layout.
    How to bring the "Document Header text " in the clearing line layout.
    Pl advise,
    Venkat

    Hi,
    you follow these steps to display "Document Header text " in F-32 :
    <b>1-</b> go to : SPRO>Financial Accounting>AR & AP>Business transactions>Openm item clearing>Make settings for open item processing>Choose selection fields.
    2- select "D" as "account type"
    3- click on "insert after"
    4- enter SGTXT in the "field name"
    5- you will show "SGTXT" and "Text" in the list of fields, click on <b>save</b>
    6- then go to F-32 and go to Menu>settings>change line layout
    7- then go to Menu>Edit>Choose
    8- then click on "insert after" above
    9- in the list you will find "text" as field, so choose it
    10- Save that (check customer or/and vendor)
    11- then click Save and return to the table of F-32, you will find Text in the displaying fields
    hope this helps
    assign points if useful
    let me know
    regards

  • Standard program to transfer open items from one vendor to another

    Hello to you all,
    Does anyone know of a standard program to transfer open items from one vendor to another,
    Thanks
    Yoav

    Hi,
    i dont know whether there is any program but there is one t.code which is meant for one of this purpose.
    We can do the same through F-51 also. First specify the document header information. for the first line item specify the customer debit or credit posting key, vendor number, and special gl if you want (Here you have to give vendor number to whom you want to transfer) press enter
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    hope this is clear,
    Regards,
    Sankar

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