Automation of EFT Remittance Advice

Hi Gurus,
Please tell me the process of automatic mailing of Remittance Advices to vendors.
What configuration required and what is the business procedure?
Thank You

Hello,
Go to transaction code FIBF
Settings ==> Process Modules ==> ... of an SAP Application
Process: 00002040
Ctr: Blank
Appl.: FI-FI
Function Module: SAMPLE_PROCESS_00002040
You can copy the function module to "Z" function module and modify it accordingly. Then you can use your customized FM here.
This triggers an email of payment advice, provided if you have maintained Email Address in the Vendor Master "Address" Tab and the Standard Communication Method is "INT - Email"
You can see the email that is being triggered / delivered in transaction code SOST.
To deliver the emails settings in SCOT are being completed by Basis consultants and the gateways must have been opened. Except production environment, normally the gateways are closed in development or QA environment in order to avoid sending wrong payment advices outside.
Thanks,
Ravi

Similar Messages

  • Regarding EFT Remittance Advice from F110

    Hello ,
    Can I use Smartfrom instead of SAP Script for creating EFT Remittance Advice from.
    Because it does not show the option for Smartform in the customizing.
    It gives option only for SAP Script or PDF form.
    Regards
    Sachin yadav

    I think this has been asked several times before, please use Search. This is ust one of the first links in Google:
    Smart form for Payment Advice
    You might need to write a custom program. Also search OSS notes, there might be something there.
    There is also a separate forum for the forms questions, actually....

  • Configuration of EFT remittance advices in ECC6

    Have configured the steps in transaction FBZP for payment method T (Transfer) but still can not seem to print out the remittances via the payment run using transaction: F110?
    Does anyone have a checklist of steps? Maybe I am missing something?
    Kind regards,
    Marica

    Each country/bank follows its own format to send the EFT remittances to the bank. You need to look for a template in DMEE transaction for the country you are working on. You can create a Z based on the template you choose and assign this template in the FBZP configuratuion. Only after that you can get this output.
    While doing the F110 Payment run select the checkbox "Create payment medium". Once the payment run is over you can get your extract from T code FDTA.

  • Automation of Remittance Advices to Vendors

    Hi Gurus,
    I want to send the Remittance Advices through SAP Automatically.
    Please let me know, how we can do this.
    Thank You
    Regards,

    Hello,
    Before configuring this, please make sure that the SCOT settings are being configured by your Basis Administrator.
    Please go through following settings.
    T code FIBF
    SettingsProcess ModuleSAP Application.
    Process 00002040
    CTR Blank
    Application FI-FI
    Functin Module SAMPLE_PROCESS_00002040.
    This FM will pick the email address on the general data tab page of vendor master.
    You can see the email addresses in your SOST transaction (the queue)
    Hope it will solve your problem .
    Regards
    Ravi

  • No remittance advice output in the 'Outbound Payment File Directory'

    We are working on an upgrade from 11i to R12.
    Configuration has created a profile for an electronic payment with a separate remittance advice. They have specified an outbound payment file directory. The EFT text file is generated in the proper directory (on the appserver); however, the remittance advice file went to the default directory on the dbase server. We want to pick up the file, rename and ftp to our printer from the 'outbound payment file directory'.
    Is this expected functionality or did we miss something in configuration?

    Manu,
    I do not think it is possible -- You may log a SR and confirm this with Oracle support.
    Where Can Be Found The Output File For The Transfer To The Bank [ID 730548.1]
    How To Change Nacha Payament Output Directory And Name [ID 786007.1]
    Thanks,
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  • Remittance Advice to Vendor

    Hi Expertise,
    In fact I am required to deliver the Remittance Advice in SMARTFORMS to the vendor for thier invoices paid. For example after running the automatic payment run (F110), we issue a check or do EFT transfer direct to the vendor's bank account. But along with this we also required to give remittance advice containing the invoice details paid etc. Now I am unable to find out these details to make a SMARTFORMS for the remittance advice. Following are the informations to appear in the remittance advice :
    Rimittance Date (SAP payment date)
    Vendor Invoice No. ( We put the same in reference field during MIRO / FB60 )
    Vendor Invoice date ( We put the same in document date filed MIRO / FB60 )
    Vendor Invoice Amount
    Discount Amount
    Net Amount paid agst each advice
    Total amount paid
    Vendor's BSB & Account no.( We maintain in the vendor master data )
    Reference ( ie the FI doc no of the vendor invoices )
    Which table will give all the above informations to make a SMARTFORMS for Remittance Advice.
    Your's early and accurate reply will be sincerely appreciated.
    Rgds,
    BABA

    Hi,
    From REGUP, you can identify the vendor, the vendor invoice and the amount that has been considered for the payment run.  You can then refer to BKPF for the fields like vendor invoice date, vendor invoice no., reference., which I guess you  input in the document header data of the invoice.
    In REGUP, the entries are populated both at the time of proposal run and at the time of payment run, you will need to eliminate proposal lines using field XVORL.
    If there is some info in the vendor item, then you may need to refer to BSEG (BSAK/BSIK).
    Cheers
    Neeraj

  • Overriding email address for Payables separate remittance advice (sra)

    Overriding email address for Payables separate remittance advice (sra)
    After copying a production instance into a test or development instance, we would like to override email addresses for all emails sent from automated processes. For workflows and alerts, there is a feature to send all email to an override email address. This does not seem to work for Payables separate remittance advice (sra) emails.
    I believe (but could be wrong) that the SRA does not use the workflow mailer. Instead it uses the “XML Publisher Delivery Manager”. Is there a way to override all email addresses for emails sent through XML Publisher Delivery Manager?

    I also opened an SR on this question. I don't believe there is any solution for this requirement offered by Oracle. I am planning on writing a script to update supplier contact email addresses to an override email box for test instances. If anyone has a slicker solution, let us know.
    Here is Oracle's response:
    === ODM Answer ===
    Hi Tom,
    Thank you for your question. Unfortunately, this functionality is not available in R12. Based on my research, this functionality has been requested in Enhancement Request (ER) 9308736. I have added you to this ER. Please see the information below:
    1) The Enhancement Request has already been filed as Enhancement Defect 9308736. Enhancements have a long duration as they require review of various teams at different levels to determine desirability and feasibility. You can follow up the progress of this enhancement by monitoring this defect via MyOracleSupport. As this functionality is not available in R12, please consider customizing the needed feature in your internal organization.
    Edited by: Tom B on Sep 9, 2011 8:23 AM

  • How to see the output of a FORM of REMITTANCE ADVICE ( PAYMENT ADVICE )??

    Hi Experts,
    I got a SAP Script of REMITTANCE ADVICE (also known as PAYMENT ADVICE).
    And I know the VENDOR #.
    I need to see the output of this SAP Script on the screen, so, let me know that, How to test it/see its output. (I know, seeing the Customer statemet from the tx of F.27), I mean, wht r the transactions etc. stuff.
    thanq

    You should create a variant for payment advice and you can use the same while executing the t.code:F110.
    Once payment run has been completed system will generate a spool for payment advice. You can view that payment advice through t.code:SP01.

  • How do I add an email body text for remittance advices / payment advices?

    Hello,
    I am trying to send an email body text with the pdf remittance advice to my vendors.
    Background:
    We are running automatic payments to vendors via transaction F110. We have configured the pay run to produce remittance advices for vendor payments. Finally we activated the BTE 00002040, through transaction FIBF, to use a custom copy of the function module SAMPLE_PROCESS_00002040.
    Our payment run sends emails with pdf-file attachments to our vendors correctly.
    <b>The Issue:</b>
    I can not find a way to add text to the body of the email with the attached remittance advice.
    Has anyone advise on how to populate the email body with text?
    Thank you and best regards
    Karsten Arold

    Hello Subhashree,
    I have not implemented the functionality, but I found rerference to SAP Note 1033893 in another forum post.
    Email text to Payment Advice in BTE2040
    Allan

  • Remittance Advice output should print to file rather than to a printer

    Hi all,
    We have a requirement in payment process Request,
    when we process a payment batch, generally the Remittance Advice will be sent as per the payment system setup i.e, to the Banks server. But, our client has a dedicated team to review these generated Remittance Advises, once they review them, they will upload them to the Bank's Server.
    But now we have to make the system to place the generated Remittance Advises to a common place from there the team will take and review them.
    The following are some of the considerations of mine
    1. use a xdodelivery.cfg file for FTP / SFTP or local file transfer
    2. Create a local Transmission Protocol in Transmission Configuration in Payments setup and associate it with Payment Process Profile.
    Is there any other solution please provide me.
    Also if anyone had written xdodelivery.cfg file please provide me the code. I read the BI Publisher guide but i couldn't get how to proceed in writing the file.
    Thanks in Advance
    --Giri

    Hi,
    Remittance advice is specific xml publisher report because you already have data source. You can only make layout and delivery mail,fax,print 1072399.1. I think you should make own Remittance advice with bursting http://vanzweden.org/index.php/blogarticles/categories/xml-publisher/10-creating-text-files-with-bursting.
    Regards,
    Luko

  • How to get the output of the Send Separate Remittance Advices in XML in R12

    Hi All,
    I have a requirement where we want the output of the standard report 'Send Separate Remittance Advices' to come in XML, currently its coming in PDF format.
    Can you please help?
    Thanks,
    Dilip
    Edited by: 990784 on Mar 12, 2013 2:57 PM

    Refer these links
    http://www.sap-img.com/bc037.htm
    http://www.members.tripod.com/abap4/Save_Report_Output_to_a_PDF_File.html
    CONVERT_ABAPSPOOLJOB_2_PDF FM convert abap spool output to PDF

  • How to delete Remittance Advice through FB01 - which User exit or BADI?

    I have created a BDC program for transaction FB01 to create an FI posting.  During this BDC session, i need to delete the associated remittance advice using the function REMADV_DELETE.
    Is there a user exit or BADI that i can use to call REMADV_DELETE once the FI posting is successful?
    Thanks,
    Jay

    Jay,
    In BTE there are two types of exit - Publish and Subscribe (P&S) and Process.  Generally P&S give access to read data from a transaction and trigger your own processing as a result, while Process give access to change parts of the data in the SAP transaction.  For what you want, P&S probably gives the functionality you need.
    You need to copy the sample function to a Z function in a Z function Group.  Put in your code, and activate the function and function group.  As an initial test just a break-point in the code is useful to see when the exit executes and what data is available.
    Then in transaction FIBF you need to insert customising to link in and activate the exit.
    In the FIBF transaction, go to menu option Settings>Products>Of a Customer.  Select New Entries and create a Z... entry with appropriate text. Leave other fields at this time and save.
    Go to Settings>P/S Modules>Of a Customer. Select New Entries and create an entry for the relevant event number with the Z product you just created and add your function module name. Country and Appl can be filled or left blank for "All". Save the entry.
    Go back to the Settings>Products>Of a Customer entry and selct the activate check box and save the entry.
    Your function should now get executed at the relevant point.  Remember this will get executed in all posting transactions, so include appropriate checks for your transaction code, document type, etc.
    One note.  Transaction FB01 performs some of its updates using "IN UPDATE TASK" so some records may not be created at the time some exits are executed.  In the old style debugger a commit is performed when you debug so the update is triggered, but then when you run without the debugging things work differently.  The new style debugger lets you debug these exits without the commit and thus gives a better picture of what will really happen.
    Andrew

  • Automatic creation of remittance advice for employee expense reimbursements

    Hello experts
    Is there a way to have remittance advices for employee expense reimbursements created automatically at the time of payment media run? In case of suppliers, in the supplier base you can heck "Advice Required" and then at the time of media run the remittance advice can be generated alongwith the payment. Is there a similar setting that can be done for employees?
    Thanks
    Gopal

    Hi
    Just to follow on from Ravi's reply:  most sites that I work at have the report RPRAPA00 scheduled to run on a periodic basis (define the job via transaction code SM36) to automatically create employee's vendor accounts.   A screen variant is usually saved for the program, and then the batch session is monitored on a regular basis to ensure that it has run successfully.
    Cheers
    Kylie

  • Remittance Advice to Vendor through EDI, message REMADV

    Hi Guru
    I want to send a remittance advice to vendor only through EDI after running payment run. But standard SAP requires configuration for Vendor and as well as House Bank and generates two Idocs one for bank(Message type PAYEXT-PEXR2002) and one for Vendor(Message type REMADV-PEXR2002).
    The requirement is only to send the remittance advice to vendor but not to the bank is any way that i can stop generating idoc to bank.
    THANKS & REGARDS
    Pavan
    Edited by: Pavanks on Sep 14, 2009 10:28 AM
    Edited by: Pavanks on Sep 14, 2009 10:29 AM

    hi Pavan,
    you want to do the open item clearing without the banking file throught auto payment run, do you? can you try to use other payment method , like check.
    thansk

  • Smartform form for Payment remittance advice to Vendor

    Hi Friends,
    My requirement is i have a sapscript "F110_IN_AVIS" (Driver program:RFF0EDI1 This is a standard sap driver program)and it should be converted to Smartform with all the windows as it was present in sapscript. I have migrated the sapscript to smartform (as you all know that only the layout will be copied and not the logic). Now how to identify the table names and the corresponding field names related to each of these windows. Kindly suggest how to proceed with the driver program. Also Kindly send any document or any sample program for Payment remittance advice to vendor. Full pints will be rewarded to valuable answers. Thanks in advance.

    Cheers Gusy
    Now I Have got this requirement too and iam working on this i will come with the solution soon mean time if any one of u have any inputs cheers to hear from yu guys..
    Raj

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