Bill discount because of place of employment

I am currently receiving a discount on my bill because of my employment at BELCAN
would I receive a greater discount if I work for Caterpillar Inc.

    Discounts certainly come in handy leroywade! It's great to take advantage of any, anytime you can. We aren't able to give you the exact discount amounts, as they can vary depending on the contract we have with the companies. However, as Ann154 mentioned, you can get this information from HR. Or you can check and even register online via the following link: http://bit.ly/SAe4MP
Thank you,
VanessaS_VZW
Follow us on Twitter @VZWSupport

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  • Bills Discounting  - Open Items not cleared

    Dear All,
    We have posted a bills discounting transaction, wherein we have posted document in F-36, F-33 & F-20. But after the posting in F-20 still the document posted in F-36 is showing as open item in Debtor's Bills of exchange G/L whereas it should have been cleared.
    Kindly Suggest
    Regards,
    Prashant Goel

    all right MN,
    i guess figured it out as to what could be the problem with you..... here is an example what you have been throuhg
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    which has a discount of suppose  2%
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    now what you might have done is according my analysis is that
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    now what you need to do is to go back to the tcode F-32 and try to change the disc amount to an amount that would make the invoice amount equal to what the customer has paid.  and then try to clear the transactioin....
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  • Vendor Bill discounting-Urgent

    Hi Experts,
    I want Vendor Bill discounting steps in IMG & User level T.Codes Also, now i am in implementation projects, i am new to implementation project, plz help me.
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    veera

    Hi Experts,
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  • How to calculate the Bill Discount !

    Hi,
    I have a requirement where in I have to develop a report to display bank balance chart with the following details in the output.They are :
    1. Posting Date
    2. Bill Discount (BD)
    3. Letter of Credit(LC)
    4. Cheque Amount may be cheque issued.
    5. Deposits.
    Above are the information which i have to display based on Posting Date range , Company Code and Bank Key present in the selection-screen.
    Below are my few observations:
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    I am just looking for flow of data/process flow/standard transactions through which I can see these above mentioned things which can help me in building the logic. At least a general approach to this will be appreciated highly.
    Regards,
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    Edited by: raghavendra kulkarni on Jul 8, 2010 2:33 PM

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  • Error in SBI Bill Discounting

    Hi gurus,
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  • Bill discounting

    hello,
    HOW THE BILL DISCOUNTING ACTIVITIES WILL BE INCORPORATED IN SAP?
    urgent

    Hi Bhadresh,
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  • Vendor bill discounting

    Hi,
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      chiru

    hi
    if u purchase the raw material throw(TC:F-43) from vendor. after the purchase if u pay the amount throw the check u can pay throw house bank .so no need that vendor bill discounting steps. if u r vendor  bills recievables  all steps will aplicable.
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  • How to calculate Bill Discount, Letter of Credit, Deposits & Cheque amount!

    Hi,
    I have a requirement where in I have to develop a report to display bank balance chart with the following details in the output.They are :
    1. Posting Date
    2. Bill Discount (BD)
    3. Letter of Credit(LC)
    4. Cheque Amount may be cheque issued.
    5. Deposits.
    Above are the information which i have to display based on Posting Date range , Company Code and Bank Key present in the selection-screen.
    Below are my few observations:
    1. To retrieve the Bill Discount, I am first fetching the data from BKPF table by checking the document types 'DZ' ,'KZ', Company code and Posting Date Range. Then using document number,company code present in these entries along with Posting key = 39 and special GL indicator = 'W' retrieving the data like DMBTR,WRBTR from BSEG.
    2. Similarly for Letter of Credit amount retrieving the data in the same way as mentioned above except special GL indicator will be 'Y'.
    Now please correct me if my approach is wrong. Request you all to throw some light as I am Technical Consultant and humbly looking forward to all your help.
    Also, request to let me know the logic or process how one can calculate fourth point as well as Fifth point as mentioned above.
    I am just looking for flow of data/process flow/standard transactions through which I can see these above mentioned things which can help me in building the logic. At least a general approach to this will be appreciated highly.
    Regards,
    Raghavendra Kulkarni.
    Edited by: raghavendra kulkarni on Jul 8, 2010 2:31 PM

    Hi,
    I have a requirement where in I have to develop a report to display bank balance chart with the following details in the output.They are :
    1. Posting Date
    2. Bill Discount (BD)
    3. Letter of Credit(LC)
    4. Cheque Amount may be cheque issued.
    5. Deposits.
    Above are the information which i have to display based on Posting Date range , Company Code and Bank Key present in the selection-screen.
    Below are my few observations:
    1. To retrieve the Bill Discount, I am first fetching the data from BKPF table by checking the document types 'DZ' ,'KZ', Company code and Posting Date Range. Then using document number,company code present in these entries along with Posting key = 39 and special GL indicator = 'W' retrieving the data like DMBTR,WRBTR from BSEG.
    2. Similarly for Letter of Credit amount retrieving the data in the same way as mentioned above except special GL indicator will be 'Y'.
    Now please correct me if my approach is wrong. Request you all to throw some light as I am Technical Consultant and humbly looking forward to all your help.
    Also, request to let me know the logic or process how one can calculate fourth point as well as Fifth point as mentioned above.
    Edited by Raghavendra Kulkarni.
    I am just looking for flow of data/process flow/standard transactions through which I can see these above mentioned things which can help me in building the logic. At least a general approach to this will be appreciated highly.
    Regards,
    Raghavendra Kulkarni.

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  • Bills Discounting Reversed

    Dear All,
    We have Post the bill usuage through F-33. Now suppose Customer doenot pay to the bank. How to reverse the transaction at the same time we have to book the receivable which was nullified when we have done f-36.
    I have the 4.6 Bills of exchange material which doesnot give clear direction. Request you all to give the Transaction code need to use for reversing the bill discounting and restoring customer receivables.
    Thanks & Regards,
    Bhadresh

    Try F-30
    In this case, you should reverse the bill of exchange payment as follows:
    Choose Document entry > Other > Transf.psting ® With clearing. The system now displays the Post with Clearing: Header data screen.
    Enter the necessary data concerning the document and select Transfer posting with clearing.
    At the bottom of the screen, enter the posting key for a customer debit entry that is not sales-related (04 in the standard system, for example) and the customer's account number. Choose ENTER .
    The screen for entering the new receivable is now displayed.
    Enter the amount of the bill of exchange payment.
    This amount is posted to the customer account as a new receivable. The document date is suggested as the baseline date for payment, since the receivable is generally due net immediately.
    Choose Edit > Choose open items.
    The system now displays the selection screen for open items.
    Enter the customer account number and the special G/L indicator for bills of exchange (B in the standard system). Choose Goto > Open items.
    The screen that is now displayed is for selecting open items.
    Select the open items of bills of exchange that you want to reverse.
    Choose Document > Post.The system clears the bill of exchange receivable and posts a new receivable to the customer account. It also clears the special G/L account "Bills of exchange receivable".

  • Domestic bills discounting.

    Hello Peers,
    am doing domestic Bill discounting. AS IS scenario is
    Step 1: creation of customer invoice.
    Step 2: producing the invoice to bank and get some loan. here customer is not involved. customer balance will not come down.
    Entry will be:
    Dr. Bank a/c
    Cr. Bills discounting a/c
    Step 3: debit entries for bank charges
    Dr. Int a/c
         Bank a/c
         Postage & tele a/c
    Dr. service tax a/c's RG23A
    Cr. Bank a/c.
    here we are reducing the bank amount to the extent charges.
    Step 4: Once we receive the cheque from customer we will clear the customer. simultaneously we will clear the bank liability also.
    If we clear the it before int will be returnd or it will e charged more int in cause of late payment.
    Now how can i MAP this in SAP. any one can explain me pls.....
    And tell me what is normal bills of exchange.
    Thanks in advance
    Murali

    Try F-30
    In this case, you should reverse the bill of exchange payment as follows:
    Choose Document entry > Other > Transf.psting ® With clearing. The system now displays the Post with Clearing: Header data screen.
    Enter the necessary data concerning the document and select Transfer posting with clearing.
    At the bottom of the screen, enter the posting key for a customer debit entry that is not sales-related (04 in the standard system, for example) and the customer's account number. Choose ENTER .
    The screen for entering the new receivable is now displayed.
    Enter the amount of the bill of exchange payment.
    This amount is posted to the customer account as a new receivable. The document date is suggested as the baseline date for payment, since the receivable is generally due net immediately.
    Choose Edit > Choose open items.
    The system now displays the selection screen for open items.
    Enter the customer account number and the special G/L indicator for bills of exchange (B in the standard system). Choose Goto > Open items.
    The screen that is now displayed is for selecting open items.
    Select the open items of bills of exchange that you want to reverse.
    Choose Document > Post.The system clears the bill of exchange receivable and posts a new receivable to the customer account. It also clears the special G/L account "Bills of exchange receivable".

  • F-30 with transfer bills discounted

    HI
    I need to transfer from one debtor to another the items with f-30  and these ar bills discounted.
    I cant select these kind of itmes.
    Hoew can i do it???

    Hello,
    Try using Screen variant and assign to that particular user or else use a User Exit which will immediately come out of the screen if that user tries to use any other postings. And the best option would be to control through authorizations for that particular user. Check with your basis consultant.
    regards,
    radhika

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