Batch payments vs manual payments

Hi There,
Quick question- Is there a seeded report in Oracle EBS which will list all payments and include the source- batch or manual?? If not, how can i obtain this information. Basically, we are trying to obtain a listing of only those payments that were manually entered as opposed to batch payments.
Any help will be appreciated.
Thank you,
RM

You may want to look at
Payment Register - payment from date, to date, display supplier address no, payment type - quick
If you are looking for only payments madee by batch, instead of quick provide batch.
Hope it helps.

Similar Messages

  • External/Manual Payments 'Cancel Payment' question

    Hi,
    I have a 'how to' question related to the Payroll External/Manual Payments Screen under
    Person Form -> Assignment -> Other ->External/Manual Payments or
    Person Form -> Assignment -> Other -> QuickPay -> External Payment.
    I understand that this screen is used to 'tag' payments made outside of Oracle, such as a manual check [using the 'Check Payment from same bank' option]. However, I don't understand the purpose of the valued 'Cancel Payment'? Also, I don't understand how to use it?
    Am I incorrect in assuming that it is used to void an external payment?
    Can someone give a brief description of the purpose of this LOV option and how to use it?
    A few other questions related to manual payments:
    1. How do I tell Oracle that a manual check I paid, and recorded under External/Manual Payments has been voided now?
    2. Are there any seeded reports related to external/manual payments? If so, what are they?
    Thanks for you help in advance.
    Thanks.

    Hi
    You can Either Use Quick Pay External Payment or Assignments External Payments window to make Pay ment s to the Employee Apart from your Payment Method that you have DEfined .
    Make check/cheque payments to employees.
    Make cash payments to employees from external sources or petty cash.
    Complete the voiding of a payment to ensure that no one can reissue a payment once you have voided it.
    The Methods that you can Use while makeing External Or Manula Payments
    Check Payment from Same Bank Account: Your check/cheque for the manual payment is drawn on the same bank account that you used for the original payment.
    Other Form of Payment :Your manual payment is not made by a check/cheque drawn on the same bank account that you used for the original payment.
    Always select this method when you make manual payments in cash.
    Cancel Payment: Your payment cannot be reissued.
    Always select this method when you want to identify cancelled payments so that you can exclude them from reconciliation
    If you enter from the Assignments window, you see the source type and its effective date. The source type is either PrePayments or QuickPay.
    If you enter from the QuickPay window, you see only the QuickPay source types. The Effective Date does not display because it is the same date as the QuickPay run. The Type does not display either because it is, by default, QuickPay.
    I hope this would Help.
    Cheers
    Kumar cs

  • Manual payments

    what are Manual payments, where do u perform Manual payments ?

    Manual payments are those where you have to select invoices manually based on some criteria or identification. this is run by t code F-53 or F-58.

  • Manual payments process

    Hello Experts,
    We're creating a new local solution (web based)  in order to manage "Manual Payments", so, we need to integrate it with our Sap. For this integration we detected 4Outbound Master data interface (from Sap vs Web solution), 1 extraction program for Bank, and 1 inbound interface with releated batch input creation.
    Inbound Interface:
    Manual Payment accounting  (Inbound interface)
    An interface is required in order to upload in Sap a file containing manual payment requests.
    The program should read an input txt file containing for every manual payment a header row information and two or more rows with detailed item information.
    The manual payment document will be created according the document type and transaction type inserted in the header.
    Two different transaction types are required:
    FB01   Post Document
    F-48   Post Vendor Down Payment  
    The interface should be scheduled to capture every new input file inserted on a local FTP server.
    In detail the program must perform the following activities:
    1) Read a test input file
    2) reate  batch input session to post Manual Payment document for every manual payment request (header record ) according transaction code header field (F-48 or FB01)
    3) Maintain request history (custom table)
    Outbound Interfaces
    Vendor master data, Cost Centre master data, Internal Order master data, wbs element master data.
    In detail the program must perform the following activities:
    1) Select  Vendor/CC/IO/WBS element Master Data according defined criteria
    2) Create  output file.txt 
    Extraction Programme
    Payment Medium for Bank (Outbound interface)
    An interface is required in order to create Payment information  to the bank via Home Banking .
    A similar solution is in charge for Automatic payment , see pgm   ZITFU_RFFOIT_B (FA_DD_451_LIT).
    In detail the program must perform the following activities:
    1) Read accounting document for manual payment according selection criteria  
    2) Create DME file
    3) Create Letter for Bank and vendor 
    4) Create Summury list 
    5) Create return file with Protocol Number vs WEB to confirm payment
    Please suggest how to achieve this..
    your inputs will be rewarded..
    Thanks in advance,
    Satya

    Hi,
    This is not question to give answer, this is requirement for inbound and outbound interfaces
    Mainly you have to concentrate on interfaces is
    Inbound
    What are the selection screen parameter (like company code etc whether it is select option or parameter and is it required or optional) and you need to check with customer that any validation required on selection screen
    You need to sit with an abaper to write BDC to update SAP data (you need to decide which fields are required in BDC recording)
    You need to decide the input file format (colums, rows, Char or numc and their length)
    You need to map input file fields into sap fields
    Outbound
    What are the selection screen parameter (like company code etc whether it is select option or parameter and is it required or optional) and you need to check with customer that any validation required on selection screen
    You neeed to decide the output file format (colums, rows, Char or numc and their length) and you need to decide from which sap fields data should be pick
    Where the output file shold palce
    Moreover you need to sit with sr abaper to design the document Flow (FDD)
    Reg
    Vishnu

  • You cannot reconcile a/p invoice transaction with A/P Down Payment request manually

    Dear Experts,
    One of my client has facing this problem while doing Reconciliation then he is getting the following error.
    "you cannot reconcile a/p invoice transaction with A/P Down Payment request manually"
    then we found a solution in SAP Forums and applied the same in Test Company Environment, then its working good and also attaching the scenario with screen shot.
    Please have a look into the attachment then tell us. Is it a good practice to proceed or is there any solution as simple as this.
    One more thing is my client has having more 20000 records to do reconciliation and he is looking for any alternative solution.
    So please tell us a Better solution.
    We are awaiting for your prompt response.....

    Hi,
    Please check SAP note:
    1340606 - Paid Down Payment Request cannot be reconciled
    internally.
    Thanks & Regards,
    Nagarajan

  • Due date payment restriction during manual payment posting

    Hi Team.
    We have a requirement to pay bills only after the due date is over,and not before that.
    For Ex :- If i have payment terms of 30 days and i am booking invoice on 1st of mar then due date would be 31st of mar.
    our requirement is to pay this bill only on or after this 31st march.user should not allowed to post any payment entry before 31st march.
    Can some one please give the settings required for achieving this requirement during manual payment entry..
    appreciate your help..
    Thanks
    Vinai

    Hi Vinai,
    Sorry for giving confusion..It is as simple as below.
    1). Manual payment should happen only after  the invoice is due....and that too for only one vendor.rest of all vendors should be able to pay as usual before due dates. so we are creating one new payment term for particular vendor and trying to restrict the payment by creating validation.
    2). And this restriction should also apply when vendor is configured as customer.
    For Ex :- If vendor invoice value is 10,000 where i need to pay, and he is also a customer and has sale value 1000 which i need to receive.
    net balance is 9000.
    during this vendor & customer clearance also the due date calculation should work.
    Please help in building validation logic or any BADI , EXIT' s at lease for first one..
    Thanks
    Vinai

  • How to stop clearing open items with manual payment block.

    Dear,
    Even though we have set "manual payment block" on payment block indicator in OB27,
    I can process to clear open items manually in F-44 though.
    Actually user wants to NOT allow to clear once payment block's set in an open items.
    SAP documentation says,
    "Indicator that documents which are flagged with the relevant blocking key cannot also be cleared during manual entry of incoming payments or outgoing payments.".
    Can you advise me why this configuration does not work ?
    Kind regards,
    Desperate FI con.

    Include - MF05BFO0
    FORM op_pruefen
    Context:
              WHEN 'K'.
               ENHANCEMENT-POINT mf05bfo0_02 SPOTS es_sapmf05b.
    Create an enhancement here and add this code
                   IF SY-TCODE = 'FB1K'.
                         T041A-AUGLV = 'AUSGZAHL'.
                   ENDIF.

  • AP. Adjusting Selected Invoices for Manual Payments

    Hi
    We have the problem when Adjusting Selected Invoices for Manual Payments:
    The system does not prevent user from the adjusting invoices on cleared payments, though in Oracle Payables User Guid is said: "You cannot adjust
    invoices on a cleared payment".
    Of cause our users forget this when an adjusting.
    Have anybody such problem? And how she is solved?
    Navigation:
    Payments -> Entry -> Payments -> Enter/Adjust Invoices -> Reverse Payment
    Best Regards
    Anton Turovinin

    To print payment advices and payment media you can use transaction F-58. When you enter your bank details and printer details make sure you enter printer name for both the payment media and payment advices. Then it will print both.
    Hope this helps.
    Shail

  • Difference postings in customer manual payment

    Hi
    Has anyone used this option?.. In case of manual payment of customer say from F-28, after choosing open line item if there is a difference in amount from the open line items selected, this can be nullified by offseting the difference amount in a small tab in right hand bottom of the screen "difference posting".
    It is not residual payment, partial payment or cash discounts.
    The posting that results from this, clears the open line items and creates a new open line item for the difference amount like residual payment but unlike it the new open line item contains the baseline date as document date of the payment not the original invoice.
    This is making incorrect interest calculations in such cases. Is there any setting to make these new open items to select baseline date as the date of original invoice.
    Let me know..
    Regards
    Priyadarshini

    Hi,
    Why don't you edit the baseline date before posting ? Or else you may have to take help of substitution/validation.
    Regards
    Partha

  • Alternate Payee Number not capture during Manual payment posting (FBZ2)

    Dear Friend,
    Appreciate if anyone can help me with below issue.
    Scenario:
    - Vendor master already been updated with the alternative payee number.
    - I have create a vendor invoice with payee data in the field BSEG-EMPFB.
    Problem:
    When I perform FBZ2 - post outgoing payment and select the invoice created, the payee field was not updated automatically neither based from the original invoice nor vendor master. Furthermore, the field was greyed out during payment posting.
    Pls help how can I cantured the payee number based from the original invoice during post outgoing payment.
    Thx.

    Hi Kiran,
    Here is my answer to your Q.
    1. Have you given alternate payee in vendor master
    - YES, at the genral data->payment transaction and also at alternative payee in doc. I already insert the payee number.
    2. While doing FBZ2 in account give the alternate payee and when you go inside it tells no open items found
    -NOT exactly, coz i dont use the alternate payee number for choosing open item. I use the same vendor code as per invoice.
    3. Click other items and click process open items there you will find the open invoice of the the vendors.
    -NOT applicable as i already select the vendor based from the invoice to be made.
    When I choose open item during FBZ2, entered the main vendor code as per invoice to be made. In the invoice, the alternate payee number is there already. Just during FBZ2 the field is greayed out, hence the payee number from invoice wav not adopted when manual payment was done.
    I notice if i use the FBZ2, the payee field is not open for entry.
    Pls help.
    Thanks.

  • Clint requirement manual payment for maultiple vendor ata time through f-53

    Hi experts
    I have a queiry,  the client requirement is he has to pay vendor payments for manuvaly, but the requirement is at a time he want to pay multiple vendors with the use  of manual payments.
    clint is not using app?
    Thanks
    madhu

    ok
    we have chance to pay manualy single shot multiple payments
    when the useris posting use f-53, he maintain date, c.code, cur,
    bank a/cxxxxxxxx, total payment of openitem value
    when come tovedor deatils  just select the OTHER ACCOUNTS.
    sys will papulate one sreen then u need to main tain all vendor and co.code,doc type later u can select the proces open iltems.
    it wiil dispaly the all open line items than we can clear
    thanks
    madhu

  • Vendor Master Sensitive Field Confirmation (Account Number field) - Manual Payments

    Hi All,
    After reviewing a number of threads on this forum around what happens to payments when a vendor has a 'sensitive field' awaiting confirmation I had a a specific question around having the 'account number' as a sensitive field.
    I have an instance when the 'Account Number' has been defined a sensitive field. In an example scenario a user has changed the Vendor Bank Account number and it is awaiting confirmation (through using FK08). Whilst it is awaiting confirmation a manual payment is posted against that Vendor, which Vendor Account number is used, the old one or the new one awaiting confirmation?
    It also brings about the wider question of, if a sensitive field is awaiting confirmation and a payment is made against that Vendor what value is used, the old one or the new one that hasn't yet been confirmed?
    Any insight would be great, thanks.

    Hi Johnny
    We had a lenghty debate with SAP very recently and the thing is Automatic Payment (F110) wont happen if a Vendor is awaiting confirmation... But manual payments can be done
    So, the system does not stop you for manual payments F-53 or 58... It should pick up the latest Account number
    br, Ajay M

  • How to create check in batch automatically after automatic payment program

    Hello
    SAP Experts i am getting a  issue
    how to create check in batch automatically after automatic payment program ( t code is f110)
    Thanks & Regards
    Narendra.G

    Hi Narendra,
    Please note the process below for cheque Printing:-
    1. The pre requisite for Cheque printing is you have used program RFFOUS_c/or the Z version of this program in FBZP and that you have maintained the form name in the field Form name for Payment medium in FBZP.
    2. You have a pre printed stationary on which you want to print and the Program & the form has been modified to print as per this.
    3. In F110, you must have assigned the Variant name, which would specify the cheque lot no. and this should exactly match with the current cheque no. in the pre printed stationary.
    4. Now, after all this setting, when you run Payment run in F110, then also only the Payment documents are posted but the cheque no.s are not updated in the Payment document no. nor the PAYR table is updated. It is only when you run the Print out tab, that a spool is created in SP01 for cheque printing as per the Payment documents.
    5. Then in SP01, you can print the spool on your pre printed stationary.
    This is the complete process of printing cheques from F110. Hope this helps..
    Regards,
    SAPFICO

  • Rebate-Manual payment is not allowed for this agreement type

    Hi,
    While processing the Rebates, after the Sales cycle till Billing document, when i i try to process the partial settlement it is givin a message as "Manual payment is not allowed for this agreement type"
    could you please suggest.
    Regards
    AS

    Hi AS
    If you want to do manual payment then in VB)2 select the Agreement type and then in that agreement type check wheather Manual rebate order type has been assigned or not and Manual payment has been checked or not . If they are not maintained and Checked  then maintain the rebate document type and check the box Manual accruals and then you can do Manual Payment for that agreement
    Regards
    Srinath

  • Manual payment is not allowed - Order type for payment

    Hi
    I 'm doing a rebate payment, but when I want to input a manual payment, I get "manual payment is not allowed for this agreement type".
    I moved to 'define agreement type' hoping , filling the "Payment procedure" to "C" might resolve this issue. However this gives rise to yet another error :-
    Pl. see <a href="http://i168.photobucket.com/albums/u200/masarada/untitled_1.jpg">here</a>
    help only shows <a href="http://i168.photobucket.com/albums/u200/masarada/untitled_2.jpg">this</a>
    my basic idea is to edit <a href="http://i168.photobucket.com/albums/u200/masarada/untisdxtled.jpg">this with a manual amount</a>
    how am I to resolve this ?
    Thanks

    Hi,
    In the screen shot u sent u did not maintain document type for manual payments, in the field partial settlement u have to specify the document type which is defined to make the manual payments, the standard order type defined for manual accruals is R3.once u made the manual payments accrual which r already posted to finance must be reversed, for that u have to check reverse accruals.I hope this will solve ur problem.
    kiran vemula

Maybe you are looking for

  • How to schedule a program in background after 5 or 10 sec

    Hi All,        Can anyone tell me how to schedule a program after 5 or 10 sec in background after the transaction is completed. It is not a custom transaction. I want to execute a Z program in background  in a BADI Regards Yathish Message was edited

  • How do i set up family sharing?

    My phone isn't allowing me to set up a family sharing account with my family. The message keeps popping up saying that "only an adult with a valid iTunes & App Store payment method can set up Family Sharing. Ask a parent to set up Family Sharing from

  • How can I read a PDF stored on iCloud on my iPhone?

    Dear all,      I'd like to store and retrieve PDF's on iCloud on my iPhone.  So far I can't figure out how to retrieve a PDF from iCloud and read it on my iPhone.  Is there an app I should down load?  How is this done?  Any help would be great.  Than

  • Event Handling in labview with arrays as event data

    Hey folks, I have a Labview Application which uses a dll to read Ethernet data. The setup is such that, when the dll has fresh data it sends out an event to the Labview Application so that the fresh data can be displayed. However i have only managed

  • Qosmio X300 - CORSAIR RAM is not working

    Hello, I own a Toshiba Qosmio x300-130 and in users manuall it is said it support max 2 x 4gb ddr 3 =8gb So today my CORSAIR RAM ARRIVED !!! AND i was suprised they didnt work !!!! Ima out of tricks what do u think the pr is ? here is the part number