Bank Chain Vendor change

Just wanted to get some suggestion. Our client is going to implement Bank chain. They want to see that the Invoice processor should be able to see info regarding the vendor that he is in Bank chain.
Is it SAP standard or our ABAP team has to customize something.

Hi,
Please check below link.
http://help.sap.com/saphelp_45b/helpdata/en/35/b0e61a87a62488e10000009b38f9b7/content.htm
Regards,
Anil

Similar Messages

  • Mass update of Vendor Bank Chain assignment details

    Hi Experts,
    I have a requirement to mass update Vendor Bank Chain  assignment details. I tried to use LSMW recording method for transaction FIBPU but it does not seems to be working if we have more than 2 bank keys for a vendor.
    Can you please let me know the best way of handling this requirement.
    Thanks in advance
    Regards
    VJ

    Hi Jeff,
    I need to mass update the bank chain details for vendors. I am trying to use LSMW bath recording for
    FIBPU transaction, but the problem is when the vendor has multiple bank keys there is no option to select  for each Vendor and bank key combination to record the bank chain assignment details. Just Wondering to see if we have any alternative way to mass update Vendor Bank chain details.
    Steps to replicate the scenario
    Step1: Execute transaction :FIBPU, then enter Vendor number and press F8
    Step2: You will now see Vendor bank entries (LFBK table ), in this screen I don't have the option to select each vendor and bank key combination to loop in batch recording method when it has multiple entries.
    Let me know if you need any more information.
    Thanks
    Regards
    VJ

  • BANK CHAIN for a Vendor

    Hi All,
    Can some one explain me the BANK CHAIN process for a Vendor Master Record?? This is kind of Emergency.

    Hi,
    Please check below link.
    http://help.sap.com/saphelp_45b/helpdata/en/35/b0e61a87a62488e10000009b38f9b7/content.htm
    Regards,
    Anil

  • Use of bank chains with one-time vendors

    Hi, I want to use bank chains for one-time vendors; however, there are no fields available in which to enter the intermediary bank details when creating the invoice.
    Is it possible to use these two features together, and if so, how?
    Thanks for any advice you can give.

    Hi Ravinagh, many thanks for the information.
    I've tested your proposed solution but unfortunately can't get it to work.
    I've activated the delivered scenario 0003 (RECIPIENT BANK ORIENTED) & created a general bank chain as follows via transaction FIBB:
    In the Bank Chains screen, BankChn ID = 00001, No. = 1, Typ = 2, Corr. ctry, Corr.Bank key & Bank acct all completed with intermediary bank details.
    In the Assignment screen, Crcy = USD, Sender Ctry = GB, Sender Bank Key - 200000, Recipient Ctry = KY, Recipient Bank key = blank, PmntMthSu = blank, BankChn ID = 00001.
    I then created a OTV invoice with bank details of Bank Country = KY (& valid bank key & account).
    The payment program selects the invoice to be paid using currency USD, house bank which uses bank key 200000 and uses the bank details as entered in the OTV.  It pays the invoice but no mention is made in the log of intermediary banks, and when I check table REGUH there are no entries in the intermediary bank fields for the payment proposal.
    I'd be grateful for any further suggestions!

  • SAP intermediary bank (Bank Chain)

    Hi
    My company wants to send money to a foreign Vendor. The scenario is as follows
    Our House Bank : A   Intermediate Bank :B     Vendor's correspondent Bank: C
    question 1:  In vendor master data I have selected "wire transfer" as mode of payment.  What should be the bank details provided in vendor master data?.............Is it details of Bank B or C?
    I activated scenario 0003 in SPRO. Then in FIBPU  i am filled 1. Vendor number 2. House Bank details 3. payment currency
    4. payment method supplement :3 (Transfer funds) and the executed
    i am now in Bank chain assignment screen
    here we have recipient bank data and in selection we select the appropriate line and clicked on Bank chain assignment
    in new Bank chain assignment screen  we have the recipient Bank data  and sender Bank data.
    question 2    What should be the assignment on this screen?
    is it
    1.Bank B  type 2 ( intermediate bank)
    2. Bank C type 3 (recipient bank)
    or something else?
    Question 3. How to test the system?

    Hi Murugan,
    How do you solved this issue please? Any update on this subject?
    I've the same business requirement for my client.
    Thanks,
    Houda

  • Bank chain functionality in SAP

    Hi,
    If anyone has knowledge as to how to use bank chain functionality in SAP for vendor payment in SAP. Please let me know I will get in touch with more details for my query. This is required when we are making payments to a vendor and there are some intermediary banks involved between our bank and vendors bank. The tcode for setting up bank chain is FIBPU
    Regards,
    Vijay

    Hi,
    Mainly this bank chain is used for giving payments to foreign vendors. Normally house bank will finalise via which bank the payment should be made. But using this bank chain, you can specify this.
    Configuration:
    Create a scenario in IMG under bank chains.
    Here you can maintain your search criteria. If you select Gen.Search (General Search), you should use IMG activity Create General Bank Chain. After maintain this, you need to activate your chain in IMG Activity.
    Then in Easy Access, you can maintain Master data for Bank Chains under Bank accounting. Note, you can define upto 3 intermediary banks for a bank chain.
    Hope this will help you.
    Thanks,
    Krishna..

  • How to update house bank in vendor master

    Dear Experts,
    Please suggest me how to update the house banks in vendor master?  and RTGS no. and IFSC code
    If i am having thousands of vendor  do i need to create thousands house banks?
    Regards
    chandu

    Hi Chandu,
    There is no need for you to create house banks for vendors, You need to directly do the assignment in the vendor master. You can run LSMW for updating all the vendors using XK02 (Change of Vendor Master) in that Bank Details.
    Coming to RTGS and IFSC code, there are no specific fields available for these two as they are only useful in INDIAN SCENARIO, you can use Bank Number field for updating either of RTGS or IFSC code and you need to decide to use another field which is not used by your client for updating the second one.
    Decide which fields are not used and update these RTGS and IFSC code in those.
    Hope u understood.
    Regards
    Srikanth

  • Bank chains /  Intermediary banks

    All,
    I have setup intermediary bank and tested to see if it's working.  I'm expecting see DME file generated for Intermediary bank and update the REGUH table when I do the payments.  But, neither of them seems to be working.  The DME is genereted for vendor's bank account. 
    Vendor master data setup
    Assigned vendor bank in vendor master data  and payment methos WTC and a house bank xxxx is linked
    Bank chain config (Img)
    Activated bank chain 2(Sender's bank) and did not create genral bank chain here.
    In FIBHS , I created bank chain for the house bank xxxx that we are using
    In FIBPU, I did the bank chians for my vendor.  I assigned the vendor to the bank chanin. 
    We are using ZFFOMTY program to print the medium. 
    It looks like the bank chian setu isn't wroking right.  Can someone explain if I'm missing something here.
    Please plesae help me here.
    Thanks,
    Sri

    1) Define scenario
    2) Activate Bank chain
    3) Define bank chain for house bank
    4) Assign bank chian to vendor / customer

  • Bank chains

    Hi All,
    I have doubt about functionality of bank chains in sap.
    In the vendor master we will be maintain vendor bank accounts(created FI01) in payment transactions.
    To activate bank chains functionality we have activated scenario 0002.
    In T.code FIBPU we will be create bank chain to the bank details maintained in payment transactions in vendor master.
    In this case what will be the intermediary bank and ultimate bank.
    Regards,
    Durgasankar
    Edited by: Durgasankar.Innamuri on Oct 4, 2011 9:20 AM

    Hi
    friend,
    1. Sender bank will be company code bank example -
    JP Morgan Bank in FI12
    2. Receipt bank is vendor bank details - XK01
    3. Intermediary bank means -
    Third party bank -
    example XXXXXXBank
    Thanks
    Anil

  • Bank Chains determination

    Hi All
    We have a scenario where the client requires the bank determination should happen based on the bank chains.
    I know that the scenarios provided by SAP is driven by Sender Bank (Bank chain maintaied at our house bank level - FIBHU)  / Receiver Bank (Bank chain determined for each Vendor - FIBPU)
    Case:
    1) We have 2 vendors.  (A and B)
    2) Both are being paid by House bank "X".
    3) For 1st vendor A, Bank chain should get determined from the House Bank driven Bank chain (FIBHU)
    4) For 2nd vendor B, Bank chain should get determined from the Vendor oriented bank chain which has been maintained at FIBPU.
    Right now system is determining bank account details from the bank chains with either of one options. Either through House bank driven or through Vendor driven. but not both at a time.
    FYI, I tried using General Bank chain as well, but not working.
    Can this happen and possible. If Yes, please do reply where and what needs to be done.
    Answers are appreciated.
    Regards
    Natesh G

    Hi All
    We have a scenario where the client requires the bank determination should happen based on the bank chains.
    I know that the scenarios provided by SAP is driven by Sender Bank (Bank chain maintaied at our house bank level - FIBHU)  / Receiver Bank (Bank chain determined for each Vendor - FIBPU)
    Case:
    1) We have 2 vendors.  (A and B)
    2) Both are being paid by House bank "X".
    3) For 1st vendor A, Bank chain should get determined from the House Bank driven Bank chain (FIBHU)
    4) For 2nd vendor B, Bank chain should get determined from the Vendor oriented bank chain which has been maintained at FIBPU.
    Right now system is determining bank account details from the bank chains with either of one options. Either through House bank driven or through Vendor driven. but not both at a time.
    FYI, I tried using General Bank chain as well, but not working.
    Can this happen and possible. If Yes, please do reply where and what needs to be done.
    Answers are appreciated.
    Regards
    Natesh G

  • Problem related to bank chains?

    Hi,
    I want to know why do we require House Bank Bank chains and Bank to Bank transfer Bank Chains. Once we have configured them then how to use them as I have tried with Bank to bank tranfer but it is not showing the message for Bank Chains.
    Secondly, Bank Chains are only for the Bank to Bank transfers (Please write in detail)
    Thirdly, if we configure the bank Chains does the payment has to be go through the intermediary banks but do that require any mapping with the bank if yes then what and how,
    thanks in advance
    Regards
    Nitin

    Hi
    Mainly bank chaing used for ACH/Transfers only
    Activate bank chain  det 03 in bank chain config,
    Bank chain is mainly used for foreign payments through an intermiediary bank (i.e,3rd party bank)
    T code FIBB
    1. In bank chain --- give ntermediary bank details, say HSBC Bank (3rd party bank)
    2. In Assign -
    give sender/Receipitent bank details.
    1. XK01-Payment transation-give bank details (it is called Receipient bank)
    2. FI12---Create House bank---(it is called Sender bank)
    T code FIBPU
    1. give vendor details and execute
    Then now post FB60, F110
    Then check in SE11 - REGUH
    Then SE38-RFFOEDI1display
    Confi in FBZP
    1. payment methd in country- select Bank details check box,  Payment methd program RFFOEDI1
    2.Payment methd in comp code-- Select check boxes: Foreign business partner allowed, Foreign currency allowed, Customer/Vendor bank abroad allowed?
    once you run payment f110, Idocs you should notice segment E1IDBI@ which should contain correspondent bank details.
    Anil

  • Changes are not getting reflected in Process Chain after changes.

    Hello,
    I have modified a Process Chain in Development environment. I have created one new infopackage and included it in the process chain. I have also added two new change run variants in the process chain. I have collected the process chain and infopackage in a transport request and transported it to integration environment.
    Transport request has reached successfully in integration but the changes in process chain are not getting reflected. The infopackage has reached to integration after transport.
    I need some suggestion on this.
    Regards,
    Sanjay

    Hi Sanjay.......
    R u in Display mode..........click on Change mode...........
    If you can see the chain in Change mode............then ur process chain is imported in in-active version..........
    U can try activating it manually or re-transport the active version..........
    Regards,
    Debjani......

  • R/3 Vendor changes not updated in to SRM

    Hi,
    1) Vendor changed on 01/05/2009 in R/3 (Blocked) but not updated in to SRM,
    2) User created shopping cart for this vendor on 20/08/2009 and approved PO gone in to Error
    Error:21.08.2009  16:55:28  PO 4710113629: No instance of object type PurchaseOrder has been created. External reference:     
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    4) SRM vendor updated with all changes i.e vendor block also which changed in R/3 on 01/05/2009
    I am struggling to find why it is not updated on 01/05/2009 and updated  on 26/08/2009, there is no workflow also
    and
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    Thx
    Jai

    Hi,
    Please check the SLG1 log for object BBPUPDVD and BBP_VENDOR_SYNC.
    You see what is updated in the past.
    Regards,
    Masa

  • Include the Vendor name in S_ALR_87012089 : Vendor Changes

    Hi ,
    The requirement is to add a vendor name to the report S_ALR_87012089 : Vendor Changes.
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    Rudra

    Hello,
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  • Vendor changes tracking, Payment term filtering, Vendor listing

    Hi All,
    Need somebody help on the following points,
    1-  While changing the vendor via "process vendor and Bidder" (Business partner maintenance) transaction in EBP, the selection of payment term is restricted.  That is in SPRO I can see lot of payment terms, but while changing the vendor some few payment terms are coming.  Where is the filter?  Can anybody guide me.
    2- Vendor changes Tracking.  In our project somebody has changed frequently the vendor indicators and details in EBP via process Vendor and Bidder(BP maintenance) transaction.  But I couldnt able to track which fields are changed and by whom like in R/3.   I tried in BP also, but only the address changed details are coming there.  Can anybody guide me how to track the changes, if somebody changed somefield in EBP directly?
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    Shunmugaraj. T

    Hi
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    Understand its logic by putting break-point inside.
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    <i>Also please refer this as well.</i>
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    This sample code will all the changes, if any, made to the object, with the old value and new values.
    Here is the sample code for the FM ->
    <b>CHANGEDOCUMENTS_TO_OBJECT        </b>
    data: listtitle(80)    type c.
    data: objectclass      like cdhdr-objectclas.
    data: objecttitle(20)  type c.
    data: con_keylength(2) type n value 10.
    data: cursor_field(20) type c.
      listtitle    = 'Changes made'.         
      listtitle+22 = vibebe-sberi.
      listtitle+34 = vibebe-xberibz.
      condense listtitle.
      objectclass = 'BUPA_BBP0060'.
      call function 'CHANGEDOCUMENTS_TO_OBJECT'
           exporting
                callmodus         = callmodus
                cursor_field      = cursor_field
                keylength         = con_keylength
                listtitle         = listtitle
                objectclass       = objectclass
                objectid          = objectid
                objecttitle       = objecttitle
           exceptions
                error_in_function = 01
                invalid_field     = 02
                others            = 03.
      if sy-subrc <> 0.
        message id sy-msgid type 'S' number sy-msgno
          with sy-msgv1 sy-msgv2 sy-msgv3 sy-msgv4.
      endif.
    Hope this will help.
    Please reward suitable points.
    Regards
    - Atul

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