Automatic payment programm f110

ranankareddy
APP  , why we need maintain the next payment date ,  tell me different senarios using next payment date

Hi,
IN APP the next payment date pay a key role in deciding for upto which date the payment should be made.
for example :
your are running the correct payment process on say 11/02/2009, if u have taken next payment date as 20/02/2009. then the payment due upto 19/02/2009 will be paid during the current payment process.
Hope u got it.
Reagrds,
Sreekanth

Similar Messages

  • Automatic Payment Programme-F110

    In  Automatic Payment Run for Vendors with Due Date (30 days or 21 Days) and Outgoing Amount should be approx above $100,000 but System is taking all the Vendors and outgoing amount is $332571 which is incorrect.
    deleted  the proposal and enter the parameters and create a new proposal it still the same, any solution...
    If i check in the report  S_ALR_87012078  here amount is  156,898.20 so, APP should pick  156,898.20 amount
    Please advise.
    Regards,
    Satishkumar

    Hello
    I believe F110 would pick up the vendor items which you have given as a range in the parameters. So can you please explain when you say that the amount should have been x and it is y. Because F110 would indiscriminately pick up all the open items for vendors in a range and if they are no blocks.
    So can you please elaborate on the amount difference that you are mentioning so that we can understand the issue better.
    Rgds

  • Automatic payment programme error

    Dear  All,
    my requirment is when raise vendor invoice amount of invoice 20000rs & post payment to vendor m10000& clearing of vendor  document but while i have use automatic payment programme to paid remaing amount of vendor system shoud not take remaing amount system has calculate all  invoice amoun t20000rs. if remaing amount create new invoice & automatic payment programme run in system has happened. i thought this is wrong way to going on .what i  want  for ex  in detail vendor raise invoice
    use t.code Fb60 then use t.code f-53 post vendor payment then i should be using t.code f110 for remaing amount of payment .in all thing happened one invoice if any configuration please right back to me.
    Thanks & Regards.
    Shailesh.
    9604645129

    I have done the same scenario. Its paying full amount. The APP will pay full amount. It doen not pay partial amount. It needs to be done manually

  • Assignment Field Get Cleared(blank) During Automatic Payment Run(F110)

    Hi all,
    We have a senario that during the creation of AP invoice, the Profit Center is entered in Assignment field ( BSEG-ZUONR) in FB01.In the invoice document the assignment field value correctly copied into Profit center (BSEG-PRCTR) based on a subsititution rule.
          But during the payment document run (F110)  the assignment field is get cleared (Blank).and in REGUP table, the Assignment field get populated correctly.
    By displaying the payment document using transaction code FB03, the assingment fields is empty.ie  field BSEG-ZUONR is empty. .
    We have checked all the subsititution rules defined in the system and none of these causing the problem. We suspect there are some hidden subsititution or configurations in SAP that affect the assignment. We also checked the sort key is not the cause of it.
    Have anyone encounter the same scenario why the Assignment field get cleared(blank) in Payment document. Please kindly share. 
    Regards
    Riaz

    Hi,
    I think you are trying to Run Automatic Payment Programme with Check Management and you want to Print check and payment summary.
    Kindly check if you have defined SAP Scripts in FBZP Payment Method in Company Code.Select a Co Code and double click on payment method eg C-Cheque, their is a section called FORM DATA you need to input Scripts for the same so that the Payment Programme prints output as defined in the SAP Script for Checks and payment advice
    Regards
    Rahul

  • Automatic Payment Programme Date Issue

    Hi Experts,
    While doing Automatic Payment Programme in tcode F110 i analysed that the Cheque which is picked for Payment is related with Entry date of an Invoice, Is there any configuration in APP to pick the cheques for Payment from Posting Date/Document Date of Invoice
    Please suggest.
    Thanks and Regards,
    Vivek.N.Vishwakarma.

    Hi Vivek,
    My unerderstanding of your query is you want to do the payment program for vendor line item based on postind date/document date.
    If that is the case there is a option in F110 itself. Under free selection tab selection criterian sub tan Select the Posting date /Document date using F4. (The field will show as disable. you click F4 over there. System will give two option. Select others and enter. In the next pop up select Document and enter. In the third pop up you will get list of selection options. Select Posting date or Dosument date as selection criteria).
    In the below field enter the posting / Document date for those line item you want to pick up for automatic payment. System now will consider only those item which has posted on that specified date.
    Hope this will help you.
    Regards,
    Deva

  • EBS statement Assign to Automatic payment programme?

    Hello,
    The requirment of customer when i run automatic payment progrmme customer want electronic bank statement. in statement detail information bank account of company. how to assign electronic bank statement to automatic payment programme.if any configuration  please give me detail .
    Regards.
    Shailesh.

    Hello,
    Both are different. Automatic Payment program is outgoing and electronic bank statement is incoming.
    There is no direct linkage. For electronic bank statement, you are not the initiator. Your bank is the initiator. Unless, you have the inputs from Bank, you cannot upload the electronic bank statement.
    Anyway, the following information may be useful for your electronic bank statement configuration.
    Hello,
    There are different programs to upload electronic bank statement.
    FF.5 or FF_5.
    I think your case Multicash format you are using.
    You need have three files in FF.5 and two files in FF_5
    You can prepare a Z program in order to truncate the electronic bank statement into two or three part files and save them on the application server.
    1. Take all the external codes list from bank.
    2. Take any available documentation from the Bank describing the relevance of the external codes.
    3. Make sure that your Chart of Accounts (Bank Accounts) last digits logic is appropriate to meet the requirements.
    4. Based on this decide the Account Symbols that are required to be created.
    5. Make sure that the masking rules are configured properly.
    6. Decide the posting rules that needs to be created.
    7. Link up your external symbols provided by the bank with Posting rules and give proper algorithms for posting and clearing logic.
    6. Concentrate on the posting areas to be posted while uploading the bank statement.
    Further explanation would help you to understand the functionality when uploaded the electronic bank statement.
    Main purpose of uploading the bank statement into SAP is to make your Bank Main Account and physical bank statement balance in sync.
    You do not have any traditional Bank Reconciliation Statement (BRS) report in SAP.
    SAP is normally you maintain bank main account and bank sub account. Whenever you make a payment through F-53 or F-58 or F110, the entry would be:
    Vendor Account Dr
    To Bank Sub Account
    The ending digits of the sub-account would be important in configuring the masking rule. Based on this masking rule when you upload the bank statement the entry the system would pass is:
    Bank Sub Account Dr
    To Bank Main Account
    It depends on the configuration, either the sub account will be cleared by the system automatically or you need to run F.13 to clear the sub accounts.
    At the time of receipts, you have different accounting entries unlike payments. It needs to post to two posting areas. 1. GL Accounting 2. Sub-Ledger Accounting
    The entries would system itself pass is:
    Bank Main Account Dr
    To Bank Sub Account
    Bank Sub Account Dr
    To Cutomer account.
    Clearing logic mentioned for your posting rules and the alogrithm used for your external bank symbols will also play pivotal role in clearing the accounts.
    Ideally you will use
    FF67 / FF.5 / FF_5 for uploading manual or electronic bank statement
    FEBA / FEBA_BANK_STATEMENT is used for furthe rprocessing.
    GO THROUGH SAP NOTE 48854
    Please go through SAP Note. 48854. You will get an idea regarding the functionality of the algorithms.
    Though this note is in relevant to GB specific, you will find this very useful.
    description follows below regarding the normal procedure for maintaining table T028G. Due to the different bank codes and posting rules, pre-Customizing is not possible at this point.
    The following processing types are available - unless stated otherwise, you should use the interpretation algorithm: '000 - No interpretation' in each case.
    1. '00': There is no processing. The entry line is ignored.
    2. '01': A validation is made whether an entry exists for the transferred check number in the check table (PAYR). The check number and payment document number are transferred for further processing. Interpretation algorithm: outgoing check processing '011'-'013'; the update in the check file is via the interpretation algorithm.
    3. '02': Transfer of the ending balance to the electronic bank statement
    4. '03': Transfer of the opening balance to the electronic bank statement
    5. '04': Clearing via the allocation number which is delivered with the bank statement. No interpretation algorithm.
    6. '05': Clearing of BACS payments or BACS bank collection. The reference text field is first read to ascertain whether it involves payments initiated by users or bank collection via BACS. Providing it does involve a cash transaction initiated by the user, the payment document numbers concerned are determined via the reference number and transferred as a reference to further processing. Interpretation algorithm: '000 - No interpretation' or '019 - Reference number DME'.
    Note
    To differentiate between the two procedures in table T028G, you have to maintain two separate entries.
    Example: the bank uses bank code '62' for cash receipts and for BACS bank collection.
    Ext. Transaction +/- sign Posting rule Int. Algorithm Processing type 62 + GB62 001 5
    62 SAPBACS + GB63 000 5
    7. '06': Bank costs or interest revenues
    Recommended interpretation algorithm: '000 - No interpretation'
    8. '07': Total amount of cash disbursements
    9. '08': Total amount of cash receipts
    10. '09': Items not paid
    Recommended interpretation algorithm: '000 - No interpretation'
    Regards,
    Ravi

  • Automatic Payment programme - exclusion based on profit center.

    Hi Forum Member,
    I am having a Vendor supplying to different Profit centers.
    My requirement is to run Automatic payment programme based on Profit center i.e: all overdue of one profit center to be paid through specified House Bank of said Profit center. While APP system should not pay for other Profit centers.
    Rgds
    Dwijendra

    Hi
    In Tcode F110 in Free Selection tab you can select the profit center for which you want to make payment.
    The technical filed for this is BSEG-PRCTR.
    Then the system will select the document which has this profit center.
    Regards
    RS

  • Document selection in Automatic Payment program F110

    Hi Experts,
    Is is possible to use document number as selection criteria for automatic payment program (F110). Currently the options available are Vendor and Customer, In the "free selection" tab  we can enter only one document at a time. Is it possible to select multiple documents for payment?
    Thanks and regards,
    Achal

    Hi,
    It is possible to enter multiple documents.
    You can enter a list of single documents or in intervals.
    Enter the document number in ascending order.
    Ex:
    Individual documents.
    10001,10003,10011
    If the documents are in a sequence you can enter the Interval like this
    (10001,10011)
    Hope it helps you
    Regards
    Andrew
    Edited by: Andrew J on May 28, 2009 4:26 PM

  • Automatic Payment Run (F110) posting key setting

    HI,
    I would appreciate very much if someone could advice me about the posting key setting for Automatic Payment Run (F110).  Where is the config done?

    Hi Vani,
    I am of the view that the solution to this issue would be :-
    Moving  to  transaction FBKP.
    Posting Key Allocating/checking.
    Defination of each posting key and it field status
    PL ASSIGN POINTS, IF USEFUL
    Regards
    Vivek Sahni

  • Vendor Tolerance Group in automatic payment program F110

    Hi Experts,
    We use automatic payment program F110 for payment to vendors. We want to define different tolerance group having different grace days to vendors.
    e.g. Vendor 1 having tolerance group with 5 days as grace period
           Vendor 2 having tolerance group with 10 days as grace period
    Is it possible to have different grace days for making payment through F110. We donot want to make manual payment.
    Thanks & Regards.

    Hi,
    Please refer this link:
    F110 Payment run Problem
    Regards,
    Pramitha.

  • Automatic Payment Run-f110 Reg

    Hi,
    I am not FICO Guy.But,I need to run the Automatic payment Run -F110.
    Can you please explain step by step procedure how to run the F110.
    Thanks in advance.

    Select run date and enter and identification
    Enter your parameters, company code payment methods, next pmt date, select the vendors and/or customers
    On the free selection screen you can select values which can be included or excluded
    On the additional log screen select the type of logging that you require along with the vendors and customers
    On the printout data medium screen youcan select a variant to use when running the program
    Save the parameters
    Schedule the proposal and run it
    After proposal has been created verify it is correct
    Schedule the payment run, run it and note posting orders carried out
    You can use SP01 to faciliate the printing of checks
    Then you can create a payment file - FCHX
    Print a list of checks from the check register FCHN
    The following link may also assist you...
    http://help.sap.com/saphelp_47x200/helpdata/EN/01/a9c079455711d182b40000e829fbfe/frameset.htm

  • Related to automatic payment program (F110).

    Hi!!
    Issue is that :
    SAP Automatic Payment Program :F110 creates payment in compliance with country.The has to be saved on SAP server....
    (Payments run per company code)company code 230-->>create DME file >> (format per country)BACS (UK)>>then saved to sap server.
    I want to know what all has to be done to perform the task & in which format it will be saved to SAP server.
    Please reply soon!!
    Thank You
    Amit.
    Edited by: Amit Kumar Singh on Feb 25, 2008 1:14 PM

    Please reply soon!!
    Thank You..
    amit

  • Automatic scheduling of the automatic payment programme

    Hi All,
    My client would like to set up different ways of running the automatic payment programme. They have different payment methods which mean different things.
    First option: They would like payment method P1 for example to run every Mondays and thursdays (on an overnight basis). The payment should clear the specified vendors and transferred to the bank server without any authorisation.
    2nd option: Would like the payment programme to run automatically again this is driven by the payment method and should run overnight, but would require authorisation before the payment can be transferred to the bank server.
    3rd option: To run a  normal payment run on the same day.
    For all options, they would like to send off the remittance advice only when they have confirmed that the payments have gone through the bank server okay.
    Any help will be much appreciated.
    Thanks.

    Hi
    You can do it with the AUTOMATIC JOB SCHEDULING. For this take the ABAPer help.
    1st: For 1st payment method, create one BDC program with all details and the parameters will be constant except the "Run date" and "Next payment date". In TCODE:SM36, you can schedule job at specific time. In that job give this BDC program name.
    Once you do the payment run system automatically, clears the Vendors
    Data to Bank server is possible using the IDoc - ( take the help of ABAPer in developing this IDoc) using the Automatic Job scheduling the IDoc, you can maintain this after completion of the above job. Before to this get the data to be sent to the Bank Server in a template format with SAP field mapping.
    2nd: As this payment method requires the authorisation, you can go by manual execution of the IDoc , instead of the Automantic job scheduling.
    3rd: Same like 1st..but the day of execution will deferrs...(ABAPer will take care of it)
    Disadvantages: 
    - in the BDC program you have to hard code the number range
    - you can't have an option to block / release the block using the edit proposal option
    - IDoc creation depenedency should based on the volume of the payment documents: means after how much time this IDoc job scheduling should happen
    VVR

  • Automatic Payment Programme for multiple vendors process

    Hi SAP FICO Experts,
    Please send Automatic Payment Programme for multiple vendors process
    Step by step
    Regards
    Maran

    Hi,
    You need to follow same process.
    Regards,
    Tejas

  • Encryption of output of automatic payment proposal F110

    Hi Gurus,
    When i run automatic payment proposal (F110), i want an output in encrypted form to be sent to bank.
    Can anyone suggest how to get output in encrypted form.
    Do we use standard Abap or a user exit to get output and then encrypt it or does SAP provide standard encryption solution.
    Regards,
    Rishikesh

    Aziz,
    1. How we can ensure the payment till specified date
    2. We have specified the all Special G/L in T-Code FBZP, but it shows same error as per screen shot in point no.3.
    3.We have assign the vendor in customer master & vice versa, still below error were faced.
    a) Enter a  payment method for incoming payment (Same error occured for point 2)
        My question is if we are making vendor payment then why it is asking for incoming paymenrt instead of outgoing payment method.
    b) If we assign the incoming payment method the it process incoming payment also outgoing payment as per below screen shot. Why it not club togather & make  net payment.
    Pls. reply.
    Regards,
    Avinash S.

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