Automatic payment setup
Dear friends,
I have a requirement to setup Automatic payment with different comapnys bank account to credit during F110 run.
Example1 : I have house bank BOA has 2 accounts acct1 currency USD adn acct2 currency USD as well.
When paying to vendors, users would like to have a choice some times to pay from acct1 and other times from acct2.
As far as I know there is no direct solution for this. If anyone has inputs are appriciated.
Thanks,
Balaji
Hi Balaji,
You maintain the House Bank in Vendor master, and in your case since it is one house Bank BOA, you can maintain this in the vendor master.
Now, before running the F110 Payment run, in the last tab Print out/Data Medium, you can maintain variant with your relevant Account ID's and the payment will be made by that Account ID.
Second Option is to, use Transaction code S_ALR_87001486, where you can maintain Amount just before running payment run.. So maintain amount in only those Banks, from where you want to make payment. If you use this method, you do not need to enter the House Bank in Vendor master.. and use Payment method as the differentiating factor.
Regards,
SAPFICO
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Payment not clearing for Vendor through Automatic Payment Program
Hi
I had setup automatic payment program for my vendor to take $ from my GL account. When I run the payment program, it ran without any error, however, the vendor account was not cleared. The balance in GL and Vendor account remains the original amounts.
The log shows the following.
Job started
Step 001 started ( program SAPF110S, variant &0000000001081, user ID XXXXXXX)
Log for payment run for payment on 01/12/2008, identification XXXX
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Can anyone help ?
Thanks
ShaliniI have not proposed a solution. Now go to F110 and go to the table additional tab and press proposal log button on the lower right hand side. this will give a detailed log. Either analyse this error set right error or send the error log for analysis.
First run the proposal run and if it is successful, run the payment run and then to print run.
It should be run in the above sequence.
Edited by: Sivakumar Gopalakrishnan on Jan 12, 2008 7:54 PM -
How to set up automatic payment for the purchase order
Hi, All,
I have one question how to set up automatically payment for the Rent Office purchase Order?
There is the requirement from the client. They want to create one kind of purchase order for the Office Rent, then pay the fees in the certain time of every month to the vendor for the rent fees without any invoice. Whatu2019s the normal solution for this kind of purchase order? Is it ERS? Or something else?
Please give me the details and business flow. Also please tell me how to setup in the SAP and T-code.
Thanks in advanceEither you can set up ERS or you can pay directly from the FI side.
Prerequisites
Evaluated receipt settlement must be flagged in the purchase order item.
The vendor must be flagged as being subject to ERS in the vendor master record.
The goods receipt must refer to a purchase order.
Goods-receipt-based Invoice Verification must be defined for the purchase order item.
A tax code must have been maintained in the purchase order item.
The order price of the materials may not be an estimated price.
If you flag a vendor as being subject to ERS, the system sets the ERS indicator as a default in each item when you create a purchase order for the vendor. You can prevent this happening for certain vendors by flagging the info record for the material and the vendor as not being subject to ERS.
In Purchasing, you can delete the default ERS indicator in a purchase order item.
Choose Logistics Invoice Verification ® Automatic Settlement ® Evaluated Receipt Settlement (ERS).
The selection screen appears.
You can use the following criteria to narrow down selection of the transactions to be settled:
Company code
Plant
Goods receipt posting date
Goods receipt document
Fiscal year of the goods receipt
Vendor
Purchase order and order item
You can define the selection criteria for the invoice documents by:
Delivery
Purchase order
Purchase order item
Goods receipt document
Credit memo
Invoice
Currency
Choose Execute.
The system issues a log for Evaluated Receipt Settlement, which displays the following:
Settled
In line with your selection criteria, the system displays all the order items that were settled (or if you are working in test mode, which would have been settled).
Could not be settled
In line with your selection criteria, the system displays all order items for which ERS is defined but could not be settled. It also lists the reasons.
If the system reports being unable to invoice a transaction, you should exclude the transaction from ERS to avoid it being included in the log the next time ERS is run.
Select the item and choose Exclude from ERS.
The system also generates and possibly sends a message to inform the vendor(s) about the transaction settled, depending on the settings in Customizing.
You can display the following environment information for the order items selected. To do this, choose Goto ®:
Display purchase order
Display invoice
Display material document
Display long text -
Automatic payment program setting
Hi sir,
Could you resolve my below query :
What is the cycle for Automatic payment program setting ?Hi,
Running AUTOMATIC PAYMENT PROGRAMME:
T Code F110 process,
Enter the following things,
Rundate : Can be today's date
Indentification : Anything (eg. app, app1, aap2)
and press enter, and go to parameters tab,
Posting Date : Can be today's date (Payment entry posting date)
Docs entered up to : Can be today's date (here specify the date till that date dues will be considered)
Company code - Your company Code
Payment method - Your PM
Next P/Date - Enter next payment run date (dues will be selected one day before that date)
Customer / Vendor : enter the customer / vendor or its ranges
GO to free selection tab,
Field Name : Select any option if you wanted to restricted to it (It looks like non-seletable means grayed out but you can select it) you can select Business area to make payment only to that BA or click on Exclude values to exclude that BA alone
Values - give the values of your selection. If it is multiple selection, use "," (commas) to understand it.
Go to additional Log tab,
X - Due date Check
X - Payment Method selection in all cases
_ - Payment method selection if not sucessful
X - Line item of the payment documents
and again give the vendor or customer or its ranges here also.
Goto Printout / data medium,
Against your program - Give some varient name (eg. APP) and click on maintain Varient tab on the top it will take you to the next screen,
There you can select Individual selection and your Co Cd
and it will take u to one more screen, there give
Program run date : Rundate entered at very first
Identification feature : give your identification
Paying company code : Your company code
Payment method : Your payment method
House bank : Your HB
Account ID : Your HB ID for payment
Check lot number : Give check lot number Maintained in FCHI
Print check - Printer name
and select and give the information where ever you feel it is required. And go back it will ask u to save the varient, do the it.
Now click on Status, now again it will ask you to save, do it. Now click no proposal tab, it will pop-up one window, there
X - Start Immediately; X-Create payment medium and tick
Keep refresh it till you get the message "Payment proposal has been created" in the status.
Now you can check the proposal log,
If the proposal Log is OK then, click on Pmnt Run tab,
it will pop-up one window, there
X - Start Immediately; X-Create payment medium and tick
Keep refresh it till you get the message "Payment run has been carried out" in the status.
Now you can check the payment log also, to check the same
Now you can click on Printout tab,
X - Start Immediately; Job name - Delete ? and give some reference like APP1 etc., and tick
Now goto your own job to see the whether it is completed or not and from there you can goto your spool request to print the check.
Bank configuration:
To set up Electronic Bank Statements (EBS)
1. Create House Bank and Account ID (FI12)
2. Setup EDI Partner Profile for FINSTA Message Type (WE20)
3. Configure Global Settings for EBS (IMG)
- Create Account Symbols
- Assign Accounts to Account Symbols
- Create Keys for Posting Rules
- Define Posting Rules
- Create Transaction Types
- Assign External Transaction Types to Posting Rules
- Assign Bank Accounts to Transaction Types
4. Define Search String for EBS(Optional)
- Search String Definition
- Search String Use
5. Define Program and Variant Selection
Additional information is also available in the SAP Library under:
Financial Accounting > Bank Accounting (FI-BL) > Electronic Bank Statement >
Electronic Account Statement Customizing.
Bank Reconcilliation Statement
The following are the steps for BRS:
Create Bank Master Data - This can be created through T.Code FI01 or you can also create the house bank through IMG/FA/Bank accounting/Bank account
2. Define House Bank
3. Set up Bank selection payment programe- IMG/FA/ARAP/BT/AUTOIP/PM/Bank selection for payment prg.
a. setup all co codes for payment transaction - Customer and vendors
b.setup paying co codes for payment transactions
c.setup payment method per country
d.setup payment method per co code for payment transaction
e.setup bank determination for payment transaction
Please go for Cheque mangement using T code FCHI (IMG/FA/ARAP/BT/OP/AutoOp/PaymentMedia/CheckManagement) and for void reasons FCHV. You can create Bank Reconcilliation statement by TC FF67 (SAP/AC/Treasury/CashManagement/Incomings/ManualBankStatement) . Don't forget to keep the opening Balance as zero. Use FBEA for post process.
All the steps together will lead to (FF67) Bank reconciliation statement.
Thanks,
Prithwiraj. -
Automatic Payment Program(F111) not picking Bank Sub accounts
Dear all,
The entiries genertaed from automatic payment program(F111) is not picking the bank sub accounts (Receipts/Payment GLs) which are given in the following node:-
Financial Accounting --> Bank Accounting --> Business Transactions -->Payment Transactions --> Payment Request --> Define Clearing Accts forReceiving Bank for Acct. Transfer
It is picking the Main Bank GL, which has given in bank master(FI12).
Please advise.
Thanks & regards
Ramesh NairHi,
The config : Financial Accounting --> Bank Accounting --> Business Transactions -->Payment Transactions --> Payment Request --> Define Clearing Accts for Receiving Bank for Acct. Transfer
Is to decide bank sub account of the sending bank, when you are doing Bank to Bank transfer. This is manditory for cash management bank to bank transfer. Please read the config documentation again.
I just cut and paste from SAP documentaion.
"In this activity you define the offsetting accounts for the receiving bank accounts for bank account transfers (payments between house bank accounts) which should be posted to when payment is made.
The entries are necessary when payment requests are created for cash management payment advice notes that result from cash concentration, for example. The offsetting accounts for the paying house bank are determined by the payment program specifcations and the payment methods used. The offsetting accounts for the receiving house bank cannot be determined from these specifications, however, but can be defined in this section. "
Now, when you are creating payments with F111 and if you want to get sub accounts for house bank you have to do the following config.
F111 -> Maintain Configuration -> Bank determination -> Bank accounts ( for each accont id and payment method combination ).
Then you will see payments from this sub accounts and you have to setup posting rule to clear this account if you are doing EBS. -
Automatic Payment for Recurring Invoice
We have a contract setup to pay 900 vendors once in year from 1/1/2012 to 1/1/2016.I have to set up automatic payment which automatically pays the vendor on 1st of every year from 2012-2016,same amount.The payment is made through checks as we are taking some windmills for easement.Please guide me>please let me know if u need any other information
Thanks,
SwethaThorough explaination may be found: http://help.sap.com/saphelp_46c/helpdata/EN/6e/1218df9f0411d189b80000e829fbbd/content.htm
Or F.14 Help > Application Help
Test, test, test...
Create another recurring reference to be run monthly until the end of .... (long enough so you may test many many times)
F.14 leave all fields blank except for the following.
Company code:
Document number: document created in FBD1
Document type:
Settlement period: (important)
Batch input session name: (enter a name, e.g. "TEST", or leave it blank, then it will default to "SAPF120")
User name: (default to your own userID)
Check the "Hold processed session" -
Automatic Payment for recurring invoices
We have a contract setup to pay 900 vendors once in year from 1/1/2012 to 1/1/2016.I have to set up automatic payment which automatically pays the vendor on 1st of every year from 2012-2016,same amount.The payment is made through checks as we are taking some windmills for easement.Please guide me>please let me know if u need any other information
Thanks,
SwethaThorough explaination may be found: http://help.sap.com/saphelp_46c/helpdata/EN/6e/1218df9f0411d189b80000e829fbbd/content.htm
Or F.14 Help > Application Help
Test, test, test...
Create another recurring reference to be run monthly until the end of .... (long enough so you may test many many times)
F.14 leave all fields blank except for the following.
Company code:
Document number: document created in FBD1
Document type:
Settlement period: (important)
Batch input session name: (enter a name, e.g. "TEST", or leave it blank, then it will default to "SAPF120")
User name: (default to your own userID)
Check the "Hold processed session" -
Pls give me step by step sequence of Automatic Payment Prog
Hi,
Pls give me step by step sequence of Automatic Payment Program.
Thanks in AdvanceHi,
Automatic Processing : In this processing the system prepares open item to be paid and prepare a payment document & to this payment document the system prepares a cheque with the payment advise note automatically
Configuration of Automatic Payment Program : SPRO - Ref-IMG-FA-A/R&A/P u2013 Business Transaction- Outgoing Payments u2013 Automatic Outgoing Payment u2013 Payment Method/Bank Selection for payment program u2013 Set up all Company codes for payment transactions.(T.Code:FBZP)
New Entries
Company code : 6023
Control data
Paying Company code : 6023
Enter & Save back to menu item
Setup paying Company Code for Payment Transactions :
New entries
Paying Company Code : 6023
Control Data
Minimum amount for incoming payment ________
Minimum amount for outgoing payment 500 INR
Forms
Sender Details
Select Forms
Form for the payment advice u2013 Select International Payment advice Note F_110_IN_AVIS
Save back to menu Item
Setup payment methods per country per payment Transaction :
New Entries
Country IN
Payment method X (any identification No or Alpha)
Description Cheq
Payment method for
u2022 Outgoing payment
Payment method classification * Check
Posting Details
Document type for payment KZ
Clearing Document Type KA
Use classic payment medium programs payment medium program RFFOUS_C
RFFO : Program Code
US : Country
C : Payment
Name of Print dataset : LIST1S
& SAVE Back to menu Item
Setup payment methods per Co code for Payment Transactions
New Entries
Paying Company Code : 6023
Payment Method X
Minimum Amount 500
Maximum Amount 5000000
Select form data
Forms
Form for the payment transfer medium F_110_PRENUM_CHECK
(International u2013 Check (with check management)
Next form
Enter & Save back to menu item
Set up Bank determination for Payment Transaction :
Select Position button
Paying Company Code 6023
Paying Company Code Name
6023 Reliance Infocom
Select Company Code
Select Bank Selection : Ranking Order
New Entries
PAYMENT CURRENCY RANK ORDER HOUSE BANK
X INR 1 6SBI0
X INR 2 6ICIC (NEXT PREFERED BANK)
ENTER & SAVE
Select Bank Accounts
New Entries
HOUSE BANK PAYMENT CURRENCY ACCOUNT ID BANK SUB A/C
6SBI0 X INR 6S002 211002
6ICIC X INR 6I002 211002
If we do not specify currency --- all the currency accepted
Save
Select Available Amounts
New Entries
House Bank Account ID Days Currency Available for O/ Pay
6SBI0 6S002 999 INR 500000
6ICIC 6I002 999 INR 500000
Save & Bank to Menu Item
CHANGE VENDOR MASTER RECORD TO SPECIFY THE PAYMENT METHOD XK02 :
Vendor 1000000
Co Code 6023
Co Code Data
Payment Transactions
Enter
Automatic Payment Transactions
Payment Method X
& Save
lly
For all the Vendor Master Record specify the payment method
Execution of Automatic Payment Program :- Accounting u2013 FA u2013 A/P u2013 Periodic
Processing F-110 u2013 Payments
Enter Run Date : 20-04-2006
Identification Code : YRK00
Select Parameters
Posting Date : 20-04-2006 Doc entered upto 20-04-2006
Payment Control
Company Code Pmt Method Next Posting Date
6023 X 21-04-2006
Accounts
Select Vendor Accounts 1000000 to 3840099
Specify the range of vendors
Save the parameters
Select Status Button
Select Proposal Button
Start immediately
Continue
Press enter key until the system displays a message payment proposal has been created.
To Check Payments List u2013 Select Edit Proposal
Continue
The System displays
Vendor Item PM H.Bank Curr Amount
1000000 2 X 6S002 6SBIO INR 500000-00
To Block the Payment : Double click on the item - again double Click
Block
Payment Block A Blocked for payment
Continue
Select back button
Select exceptional list item u2013 Select Reallocation Block
Payment Method X
House Bank 6ICIC 61002
Continue
Select back button
Save
Select back button
Select Printout/datamedium
From printing/data medium exchange
Program Varient
RFFOAVIS 6023 AVIS
Keep the cursor on first row/Columns Enter
Name : 6023 AVIS
Select maintain Varients
Select Continue Button
Program run date
Paying Co. Code 6023
Number of Sample
u2022 Print immediately
u2022 Select attributes
Varient Name
Meaning Payment advice form
& Save
Select back button
Keep the cursor on 3rd row first column
Program Variant
RFFOAVIS 6023 AVIS
RFFOEDI1
RFFOUS_C 6023SBI (3RD ROW FIRST COLUMN)
Select maintain Variant
Paying Co Code : 6023
Further Selection
Paymethod X
House Bank 6SBI0
Account ID 6S002
Check Lot No : 2
* Print Checks Printer LP01 * Print immediately
* Print Payment Advise Note Printer LP01 * Print immediately
* Print Payment Summery Printer LP01 * Print immediately
Output Control
Number of Sample Printouts 0
Select Attributes Button
Varient Name 6023SBI
Meaning State Bank of India
Save
Select back button
From Printing
Program Variant
RFFOAVIS
RFFOEDI1
EFFOCUS_C 6023 ICICI
Maintain Varient
Paying Co Code : 6023
Further Selections
Payment Method X
House Bank 6 ICIC
Account ID 61002
Check Lot No.2
Print Control
* Print Checks Printer LP01 * Print immediately
* Print Payment Advise Note Printer LP01 * Print immediately
* Print Payment Summery Printer LP01 * Print immediately
Output Control
Number of Sample Printouts 0
Select Attributes Button
Varient Name 6023ICICI
Meaning ICICI
Save
Select back button
Select Status Button
Select Payment Run
Start Date : 20-04-2006 Start immediately
Create Payment medium
Select Continue Button
Press Enter Key until system the display message u2013 payment run has been carried out
Select Printout
Print JOB
JOB NAME F11020060420-YRK00--? 1
To check the job: System u2013 Services u2013 Output u2013Control u2013 Execute
Spool No Type Date Time Status Pg Title Cheque
*1167
Select Display Content Button
*1168 Payment Advice
Post with Print Form :
Accounting u2013 FA u2013 A/P u2013 Document Entry u2013 Outgoing Payment u2013 F-58
Post+Print Form
Payment method and form specifications
Co Code : 6023
Payment Method X
House Bank 6 ICIC
Check Lot No : 2
Alternative Form F110-PRENUM-CHK
Printer
Printer for Forms LP01 * Print immediately
Payment Advice Printer LP01
Enter Payments
Document Date : 20-04-2006
Posting Date : 20-04-2006
Bank Posting details
Amount : 10000
Value Date : 20-04-2006
Payee
Vendor 383001
Select Process Open Items
Select Partial Payment
Simulate
Post
Print Parameters
Output LP01
Number of copies 1
*Continue
The System display-PrintJob was generated System u2013 Services- Output Control
Spool Req Number XXXX
Execute Title
Cheque
u2022 Select Display Content Button -
Dear all,
Can you please tell the configuration of AUTOMATIC PAYMENT PROGRAM?
Regards,
A. Anandarajan.HOUSE BANK CONFIGURATION
IMG/FA/BANK ACCOUNTING/Bank Accounts/
Define house banks
o Delete the default German Banks if any & create new [del from bottom]
o A/c id if reqd 1111
Outgoing payments configuration
o IMG/FA/ARAP/BT/OP/Auto OP/
o Payment method / Bank selection for payment Prg
o Setup all co codes for payment transactions
 Tolerance days 7 vendors FP customers FPJ
o Setup paying co codes for payment transactions
o Setup payment methods per country for payment transactions
 Currencies allowed INR,USD,EUR,GBP.JPY
 ZP payment posting
 ZV payment clearing
 Copy one by one from GB for IN
o Setup payment methods per co code for payment transactions : maximum amount 5000000/-.
o Setup bank determination for payment transactions
 Ranking order : delete & create for C cheque [ deletion in reverse order i.e. value date upwards ]
 Bank accounts : 113100
 Available amounts : approx amount available for making payments. Days indicate interval of getting the bank statement for analysis etc.
 Value date : days taken for local clearance etc.
 Expenses / charges : useful for bill of exchange payments. Create here and access in available amounts.
o Number ranges for cheques : [ FCHI ] IMG/FA/ARAP/BT/OP/AutoOP/Payment_Media/Check Management
 Define no ranges for cheques : lot 101 chq no from 100000 to 100100
 Ensure vendor is created
 Raise invoice thru FB60
 SAP/Ac/FA/AP/DocEntry/OP
F.53 post
F.58 post and print cheque [ enter details & process open items]
 SAP/Ac/FA/AP/Account/F-44 for clearing payment to vendor thru FBCJ. WT will however not appear. [ This is a substitute for FB15 on the customer side. ]
BANK RECONCILIATION STATEMENT
SAP/FA/Banking/MasterData/BankMasterData
FI01 create. Instead of the above, you can also create the house bank thru IMG/FA/BankAccounting/BankAccounts
Define house bank - When the house bank is entered, click create button to create. The other details on left like bank a/c con be copied wherever possible.
IMG/FA/ARAP/BT/IP/AutoIP/Payment Method/Bank selection for payment prg
o Setup all co codes for payment transactions
 FPJ customers
 FP vendors
o Setup paying co codes for payment transactions
 Copy from ..
o Setup payment methods per country for payment transactions
 Copy IN cheque exists
 Possible currencies - include all possible currencies. If not set, payment cannot be made in that currency.
o Setup payment method per co code for payment transactions
 C cheque
 Ranking order 1
 Min & max amounts for payment
 Optimize using postal code for faster searches.
o Setup bank determination for payment transactions
 Bank a/c create
 Available amounts for C
 Value dates
IMG/FA/ARAP/BT/OP/AutoOp/PaymentMedia/CheckManagement
o Define no ranges for cheques
o Pass some bank entries thru FBCJ [cash journal]
SAP/AC/Treasury/CashManagement/Incomings/ManualBankStatement
o FF67 enter
 Beginning balance = 0
 End balance = total or earlier entry
 In Further Processing keep Bank Posting  ON.
 The difference enter into the statement with +=dr & -=cr
 Save statement.
 Post statement from Bank Statement TOP.
o FEBA post process. Value date is important, as the matching takes place as per the value dates.
Please assign points
Zia -
Clear Down payment against Vendor Invoice through Automatic Payment Program
Hi
We have to adjust vendor invoice against down payment (Advance) made through automatic payment program (F110)
Please guide us is there any configuration require to consider Down payment transactions during F110 to clear against Vendor Invoice
Ex :1. Advance payment made through special GL indicator 50K.
2. Invoice document 75K posted in vendor.
3. Now we have to clear down payment made (50K) against 75K through F110.
Regards
SreenivasuluHi srinivasulu,
First u create down payment request through F-47 and define the spl gl indicator for down payment and assign the gl account for down payment gl code..
Regards,
Nivas -
Hello Friends,
I have an issue in Automatic Payment. Can u help me with this. I dont know whether this is possible.
My company uses 5 company codes Say 0010,0020,0030,0040 & 1000
Company code makes vendor payment on behalf of 0010,0020,0030,0040 & itself.
Company code 0010 & 0020 seperately makes vendor payment for themselves.
In FBZP, the setting is as follows
Company code Sending company code paying company code
0010 0010 0010
0020 0020 0020
0030 0030 1000
0040 0040 1000
0050 0050 1000
The Problem is when I run the payment program for paying company code 1000. checks are voided for the open items of vendors of company code 0010 and 0020 and no cross company code entry is generated.
Can you please tell me what config change I should make so that I will be able to cut checks for company code 0010 & 0020 from thier individual company codes and from company code 1000
Thank youHi UMESH ,
For that you run two time APP for
First run for 0010,0020
Second run for 1000
For first run In F110 Go through Print data medium tab there keep the cursor on variant and select maintain variant button there in out put control select Do not void any checks check box.
If you any doubt feel free to ask
Regards
Surya -
here my doubt is the in automatic payment programme:-
here cash availablity in banks
SBI 3,00,000
HDFC 2,00,000
ICICI 4,00,000
SO MY REQUIREMENT RUN THE APP THE VALUE OF THE OPEN ITEM 5,00,000. so here is amount available in diffrent in banks are not suffiencent amount for this open item. how can we pay for the open item,
plz clarrify this one.Hi
Can you plz explain.
If in the above scenario we need to pay 500000/-
but we have funds as mentioned above.
Like
SBI 200000
ICICI 400000
HDFC 400000
Say my ranking order is ( SBI,ICICI,HDFC)
when i execute F110, for a single open item of 500000/-.
Then will amount be paid 2Lakhs from SBI & Remaining 3Lakhs from ICICI.
Awaiting for your response.
Regards,
Kalyan -
Automatic payment not specify by business area
Hello,
I am trying to run an automatic payment program for one vendor and the system splits the open items by Business area. But I donu2019t want that. I would like to aggregate line items in one, if my payment is just one.
I've check my customization and in transaction FBZP, on selection "All Company codes" I donu2019t have the field "Separate Payments for each Business Area" selected.
Do I need any other customization?
Does anyone know some?
Thank you very much for your attention.
Regards.
RitaDear Rita,
This is a Portuguese Forum. Please type according required Language.
In order to check Business Area Payment go to FI12 and verify if you have some Business Place assigned for your Home Bank definitions. You can also check in F110 parameters tab if there is some B.P. assigned for.
Verifique na FI12 se existe Local de negócio definido para o Banco Empresa. Verifique também se durante a execução da F110 foi atribuído na aba 'parâmetros'.
Att.
Marssel
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