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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  • 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)
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  • Automatic Payment Processing

    Hello Friends,
    I have an issue in Automatic Payment. Can u help me with this. I dont know whether this is possible.
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    Regards
    Surya

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    This is a Portuguese Forum. Please type according required Language.
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