BAPI/FM for Payment Praposal F110S

Hi Expert,
I am looking for  any bapi or fm which can create the payment praposal (FS110S).
Please can anyone let me know.... I am in a great need of the same..
Thanks in advance.
~~N

Hi Nitesha,
I am also looking for the BAPI for F110 or F110S transaction. Can you please let me know if you get any?
Thank you.
Regards,
Kumar.

Similar Messages

  • Error: No permitted payment method for Payment Praposal in F110

    Hello Experts,
    I am trying to tigger an Idoc for payment from F110 and am getting the following error:
    Job started                                                                       
    Step 001 started (program SAPF110S, variant &0000000002133, user ID )       
    Log for proposal run for payment on 27.01.2005, identification                                                                               
    Additional log for vendor 3803 company code 3000                                                                               
    Due date determination additional log                          
    Document 1900004238 line item 002 via USD      100.000,00-                
    Terms of payment: 27.01.2005    0  0,000 %    0  0,000 %    0             
    03 days grace period is being considered                                  
    Payment must take place before 30.01.2005; next payment on 26.04.2008     
    Item is due with 0,000 % cash discount                                                                               
    Payment method selection additional log                               
    Payment method selection for items due now to the amount of USD      100.000,00- 
    Payment method "C" is being checked                                              
    Bank details are being checked                                                   
    System reads house banks and checks if they are allowed                        
    Our bank 3000 is being checked                                                   
    Bank different from the specified bank DBKA in master record or items            
    Our bank 3200 is being checked                                                   
    Bank different from the specified bank DBKA in master record or items            
    House bank is selected ...                                                     
    No permitted payment method exists                                               
    Information re. vendor 3803 / paying company code 3000 ...                         
    ... payment not possible because of reported error  
    End of log                                                                         
    Step 002 started (program SAPFPAYM_SCHEDULE, variant &0000000001217, user ID )
    Step 003 started (program RFFOEDI1, variant &0000000000042, user ID )        
    Program RFFOEDI1: No records selected                                              
    Step 004 started (program RFFOAVIS, variant &0000000000044, user ID )       
    Program RFFOAVIS: No records selected                                             
    Job finished   
    Plesase suggest its very urgent.
    Thanks,
    Suma
    Edited by: Suma B on May 3, 2008 9:42 AM

    check payment in vendor master or invoice line items. May be payment method entered in parameters is different from vendor master data and invoice.
    Check Payment method configuration for country and Company code
    In Payment method for company code
    check
    minimum and maximum amount
    foreign payments allowed or not
    Check Bank determination for paying company code combination with payment method

  • BAPI / FM for payment proposal

    Hi,
    Can somebody tell me what is the BAPI/FM to Payment Proposal for Vendors only (I am talking interms of F110 transaction as you know there are 2 tasks 1 is payment proposal and the other one is Payment run per my requirement i have to do only Payment Proposal)
    i found one BAPI BAPI_PAYMENTREQUEST_CREATE but this is talking about Business partner from BUT000 table but i would like to pay to vendor.
    Note : I just want to do Payment Proposal, I donu2019t want to do Payment Run
    Appreciate your help.
    Thanks
    Sarath

    Hi sarath,
      BAPI_QUOTATION_CREATEFROM
    Check with this FM.
    Thanks,
    Neelima.

  • Business object /Enhancement/Badi  for Payment proposal (F110S)

    Hello All
    I need to trigger a workflow when payment proposal(F110S) is executed.
    Is there any BO available or is there any Badi/enhancement available where the workflow can be triggered.
    Thanks

    Hello,
    Your best bet would be to search this forum or the web for F110S and hope someone else asked the same question and got an answer. Otherwise, start looking through the list of BORs in SWO1 to look for some likely names.
    It's also possible that you'll have to make your own BOR or Class. It's not that difficult, but it's preferable to go with an existing one.
    Please let this forum know the result of your search for the benfit of future users with the same question.
    regards
    Rick Bakker
    hanabi technology

  • Single Document  for Payment in F110

    Hi
    When making payment to Vendor (Employee) through F110, system is posting document for each vendor items.
    ex:  Vendor 1  10dr  Bank  10cr     document no: 1000001
           Vendor 2  20dr  bank 20 Cr    Document No:1000002.
    But i need to post single document  for bank account ie
    Vendor 1  10dr
    vendor 2   20 Dr
    Bank a/c               30 cr    Document No; 1000001 (is required)
    How to do this??  Any favorable answer is expected urgently.
    Regards
    saikrishnan.kk
    Mail id: [email protected]

    Hi,
    I have tried this with different examples.But system makes the payment in two different documents.I think it's not posible making payment in single document.
    If I am wrong, Please do correct me.
    If it is useful assign points.
    Regards,
    Kumar.D

  • Automatic Email generation for Payment run F110

    Hi Friends
    I am working on to send email automatically when Payment program runs . The program which we are using is RFFOEDI1 to generate payment .
    I followed all steps as been posted in this forum ,which did worked for many of other member but not for us .
    BTE step carried out
    1) In cluded Email address in Vendor Master Data
    2)In FIBF - defined customer product ZEMAIL and attached that to Z sample Process 2040 and process 2040
    I could able to send short message through SAP Office which means that SCOT is  fully configured .
    Would like to hear your suggestion regarding this
    Points would be awarded for all reply
    Thanks
    Auroar

    Hi Aravind
    Infact even I am trying to send an email to every vendor separately but I am not sure how to do it as the payment advice is generated as 1 single document & I don't know how to split that based on the vendor number & send it to their email address from the master data. 
    I read about the Business framework but I am not sure how to use it...can u send me ur email address that way I can contact you directly as you are also implementing the same....
    My email by the way is [email protected]....you could even send a test email ..
    Thanks
    Morgan

  • Logical error in payment thru F110

    Hi,
    I have written a print program for check printing, when i make payment through f110 that is selecting all documents in the proposal for which i want to make the payment, it creates new payment doc no for each. Now when i print, it is considering each payment as a line item in my program. which actually should be printing in a different check altogehter in different page in the same spool.
    i have an internal table which contains all records for this payment and i am looping through it and applying some logic i call write statements and them close the form. In this case at new payment document no how should i print it in different page and not in a new spool.
    some one please help how can i modify the program ... m stuck now ... its working fine for all other payment tcodes but not for f110 as here multip-le payment doc no are generated for each doc ...

    Thanks for the replies ...
    But i think i was not clear ... If i select multiple documents for payment in f110 it creates a payment document number for each. In this case, i need to create a check for each in separate pages, which the RFFOUS_C program already does. But, now the same program should handle all partial payments also. But the standard program creates multiple line items for one partial payment using residual payment. But in my case as per the req. I have to bring everything in one line item.
    So I had customized the program to handle all this, but it works for same payment document number only. Here, now it prints multiple payment documents in the same check payment advice instead of different pages.
    I am not able to understand for every new payment document number, how can I print all the details of the second document in the next page.
    I have thought of a logic i need to implement it ... if any other ideas would be helpful.

  • What is process for payment run

    Hi guru,
    Can any one tell what is process for Payment by F110.
    Point will reward.
    thanks&regars
    Durgesh

    Hi
    COpy the Script F110_PRENUM_CHEK to some ZFORM and attach it in the F110 tcode for the related company code and payment method..
    You can do the required modifications to the script as per your requirement.
    Generally we use the Preprinted stationary for printing the cheque
    in which on the top vendor address and the fi doc line items will be printed.
    in the last cheque is printed.
    We have to print just few fields on that pre printed cheque like Vendor name, Amount, Date and amount in words etc.
    You have take some rought stationary xerox copies and to check by printing the fields whether they are correctly matching to the fields on the cheque exactly or not..have to adjust the positions and map.
    see the doc
    Run Payment Program (F110)
    Purpose
    Use this procedure to run the automatic payment program. The payment program is used to create cheques, BACs payments, electronic transfers, etc. for vendors. It is also used to create a direct debit file for customer payments. The payment program runs in three specific steps, which must be run in order.
    Create Payment Proposal. This is a listing of proposed payments. The proposal should be reviewed for accuracy and edited or deleted if incorrect. No postings or payments are created at this step.
    Create Payments. This step creates posting documents in the system, clearing the customer/vendor subledger accounts and posting the offsetting item to a cash or cash clearing account.
    Create Payment Media. This step creates the actual payments, sending cheque forms to the printer or creating files of electronic payments to be sent to the bank.
    Trigger
    Perform this procedure when you are ready to create vendor payments or to create a direct debit file for customers.
    Prerequisites
    • You must have the following master data prepared:
    • Banks and bank accounts with associated general ledger accounts;
    • Appropriate payment methods assigned to your company code;
    • Customer and vendor master records with the appropriate details completed.
    • If you wish to create a cheque payment, the vendor/customer master record must contain full address details.
    • If you wish to create an electronic payment, the vendor/customer master record must contain full bank details.
    • If you wish to create a direct debit transaction for a customer, the 'Col' (collection authorization) checkbox must be selected. This field is found on the General Data - Payment Transaction Data tab.
    Navigation Path
    Use the following navigation path to begin this transaction:
    • Select Processes è Purchase Requisition through to Payment è Payments è Automatic Payments è Run Payment Program to go to the Automatic Payment Transactions: Status screen.
    for more information please check out the link below it
    might help you
    http://www.hostlogic.hu/caghelp/Transactions/Finance/content/f110%20-%20run%20payment%20program/cc/html/index.htm
    Regards
    ANJI

  • F110 not picking up documents for payment

    Hi Gurus,
    When we run payment proposal, few lines are not getting selected for payment.
    Only first line item is getting selected , remaining are ignored.
    Payment method is same for all. there is no payment blocks.
    pl advice what other points to check..?
    rgds
    neha

    payment method same
    no payment block
    immediate payment terms for all
    all documents with document date, posting date and amount same.
    Only document number different.
    Only first doc selected in payment proposal rest ignored.
    if i go to addl selection criteria and put any other document number alone, then it is getting selected.
    meaning at a time only 1 line selcted for payment.
    is there any such restriction which can be set for F110..?
    thanks
    neha

  • F-47 park and post option OR F110 block option for payment requests

    HI experts,
    current business scenario:
    F-47 payment request by AP users
    F110 payment run (including payment requests) by manager
    so between F-47 & F110  system doesnt trigger for payment approvals
    Business requirement:
    After F-47 system should trigger workflow to concerned manager for approval
    OR
    At F110 (payment run) system should proceed after approvals if payment requests includes in the run
    Limitation:
    Business doesnt  use F-48 ( post down payment) because check is processed by Bank
    Pls suggest workflow after F-47 or at F110 which wil intimate the concerned manager
    and stops &/ block the concerned payment till approval.
    regards
    Edited by: melgibson on Jan 16, 2012 8:30 AM

    Hi,
    Now i got your point. your requirement can be achived using a ABAP development.
    1) Create a Z table to store down payment requests (with all fields, those you use in F-47) and this table needs to be maintained via a Ztcode. (ZF-47). As soon as the user enter the DP request data in Ztcode, system should trigger the WORKFLOW and will send these requests to the manager's SAP Inbox. So once the manager approves few of them, those requests only will be processed by a Zprogram, which will create SAP standard DP requests using F-47 in background.
    Note: Please make sure that, your Ztable should have one special field called STATUS, which will be depending on manager's approval. If the manager rejects it, then status should be automatically updated to the Ztable.
    2) anyhow bank will automatically creates DP for all F-47 requests, which were pre approved above.
    This logic should work  and fits to your requirement.
    Cheers,
    Srinu

  • F110 - Payment program for payment method 'W'

    I'm trying to implement wire payments (using EDI).  When I run F110 I choose 'W' as the payment method on the parameters tab, and on the printout/data medium tab I expect to see program RFFOUS_T - instead I'm seeing RFFOUS_C.  Isn't RFFOUS_T the program that should run for wires?  I also am seeing RFFOAVIS and RFFOEDI1.  Should these programs be running, as well?

    Hi
    In FBZP did you do all the steps for payment method W
    1.setup payment method per country for payment transactions
    2.setup payment method per company code for payment transactions
    3.setup all company codes for payment transactions
    4.setup paying company codes for payment transactions
    5.setup bank determination for payment transactions.
    the error you are getting is No valid payment method found , not with the bank account number , g/l account and so on......
    Try removing the payment method either in the Vendor Master or in the Document and run F110.
    Regards
    Venkat

  • Reasons for not creating a DME file in the payment program (F110)?

    Hi,
    I am using the payment program F110 for customer payments.
    A payment run was carried out:
    Parameters have been entered. Payment proposal has been created. Payment run has been carried out. Posting orders: 17 generated, 17 completed.
    However, the DME file was not created.
    What could be the reason?
    Thank you.
    Kind regards,
    Linda

    Solved. 
    Someone has changed the variant of the payment program.
    The DME file name had disappeared.

  • Payment program F110: User Exit/BAPI to block/unblock payments

    Hi!
    I need to block some documents when the payment occurs (F110)
    and in the end I need to unblock then. Seams to me than I have to modify the value of field BSEG-ZLSPR.
    The problem is that I try to find some User Exit ou BAPI by various ways
    but I find none.
    Can anyone help me?
    Thanks a lot.
    Rui

    Thanks Savitha.
    I will analyse your suggestion.
    What I need is:
    1-Enter t-code F110
    2-Fill the necessary fields and click in Proposal to execute the proposal.
    3-If everything id ok, the user clicks in Payments to execute the payment.
    This is the “normal” execution.
    What I need in the step 3 <b>in the beginning</b>, block some payments
    (based in some parameters) – this to prevent of executing the marked payments.
    And <b>in the end</b> unblock the blocked payments (return to original situation)
    Can you give me any more suggestion?
    Thanks!
    Rui

  • F110 Configuration for payment through Idoc

    Hi All,
    Can any body help me to configure F110 to generate the Idoc for payment? Please let me know the steps of all configuration including FBZP, F110 and Ale.
    Thanks
    Piyush

    Apart from other configuration in FBZP... Following need to done..
    1. OBVCU - Assign Payment medium program that does support IDOC generation. e.g. - RFFOEDI1
    2. we20 - Create Partner Profile and assign required Message types like EUPEXR, PAYEXT ,,,
    3. FI12 - Assign Partner Profile to House Bank. Assign Paymethods which are compatible for EDI.
    4. F110 During Payment run, Flag "Generate IDOC" check box in variant of Payment Program

  • Change Document - Block Invoice for Payment - BAPI

    Hello All,
    I have the requirement to block an invoice for payment through the Portal.
    In FB02 transaction, we can select an item and set the "Payment Block" indicator to B (blocked) for instance.
    I would like to know if exists a BAPI that allows this update. If not, if exists a function module for that (then we could create our own BAPI).
    Thanks in advance,
    Marco

    Hi Marco
    The BAPI never sets a payment block indicator by itself. It doesn't do so even when you have a payment release workflow
    activated where FB01 would automatically set the indicator.
    For BAPI calls you must always pass the payment block indicator in ACCOUNTPAYABLE-PMNT_BLOCK or code a user exit as described in note 487722 to populate the indicator automatically.
    In the normal FI posting transaction code, for example:FB01, system will read the customziing in Tcode OBB8 ->if Block key is defined and the flag of Transfer payment block when changing terms of payment is on, the system will set the this payment block into corresponding line items in which this payment term is used. please refer to source codes:
    Main Program     SAPFF001
    Source code of   SAPFF001
        CALL FUNCTION 'FI_FIND_PAYMENT_CONDITIONS'
          EXPORTING
            i_zterm            = bseg-zterm
            i_bldat            = bkpf-bldat
            i_budat            = bkpf-budat
            i_cpudt            = bkpf-cpudt
            i_zfbdt            = bseg-zfbdt
            i_funcl            = t020-funcl                     "ERP05
          IMPORTING
            e_t052             = t052                   <<<<< import customizing in T052(Tcode:OBB8)
            e_zfbdt            = bseg-zfbdt
            e_sklin            = sklin1
          EXCEPTIONS
            terms_incorrect    = 4
            terms_not_found    = 8
            no_date_entered    = 12
            no_day_limit_found = 16.
        CASE sy-subrc.
          WHEN 0.
          WHEN 4.
            MESSAGE e737 WITH bseg-zterm.
          WHEN 8.
            MESSAGE e100 WITH 'T052' bseg-zterm.
          WHEN 12.
        MESSAGE.
          WHEN 16.
            MESSAGE e024 WITH bseg-zterm bseg-zfbdt+6(2).
        ENDCASE.
    *------- Zahlungsschlüssel und Zahlungssperre vorschlagen -
        bseg-zlspr = t052-zschf.    <<<<<<<< payment block is set
        bseg-zlsch = t052-zlsch.
      ENDIF.
    Hope above explanation are useful for you to find the solution.
    Best Regards,
    Gladys xing

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