BRS configuration- Posting directly to customer account

Hi,
I have done BRS configuration and I am able to do clearing, posting to bank charges etc based on configuation when I upload the bank statement thro FF_5.
But I have a new scenario, where while uploading a Bank statement thro FF_5, based on the external transaction type, the system has to post directly to customer account.
Dr Customer Account     xxxx
Cr Bank Main account        xxxxx
Is it possible in EBS configuration or what is the steps I need to follow to achieve the above entry.
Pls help..
Regards
Surya

Hi
Using the posting rule, it is possible to generate the accounting entry you want, but the problem is how the SAP system will know the entry is for which customer. There is also a std T Code FF68 for the same for manual entries from which accounting entries should be generated the way which you have raised in your first post. For your information, you can have the following user exits in FF_5, where in you can write your code
FEB00003 Customer exit for Finnish bank statement TITO format
FEB00004 Raw data processing, user exit SWIFT MT940
FEB00005 Electronic Banking - Account Statement Object Generatio
FEDI0005 Function exists for EDI-ICODS in FI - Elec.bk stmt/lock
Regards
Sanil

Similar Messages

  • Transport Charger Post Directly to vendors Account through Sales Order

    Dear All,
    I have the query of Transportation Charges in Sales Order Post directly to Vendors Account.
    I have configured Partner functional of vendor in sales order but how to post the transportation charges to that particular vendor Account ?
    Please give solution for this.
    Rgds
    Pawan Sarda

    Hi,
    In SAP you cannot do any postings either to customer or vendor. Customer postings happen only while creating billing documents in VF01.
    As far as vendor postings are concerned, The postings happen in MIRO transaction.
    The scenario you have mantioned is not possible the way you want it.
    But if you use transportation in Logistics execution, then actual freight charges can be posted to vendor account after shipping cost document T.Code: VI01 is posted.
    Hope this helps.
    Regards,
    Sharan

  • POSTING TO INDIVIDUAL CUSTOMER ACCOUNTS

    Dear Guru's
    I need some clarification on Posting to Customer Accounts.
    I have done all the necessary settings for Posting to Customer Accounts.
    Each employee is assigned with a Customer Account.
    But when posting to Fi/Co is done, only one Customer Account is triggered to all the employees.
    How to solve this issue.
    Thanks & Regards
    Shansar.

    Dear Vikram
    Here my client wants to make automatic posting to the Customer Accounts because each employee is treated as customer here.
    I also have a doubt whether to create a seperate symbolic account for each customer, because when i am trying to assign the same symbolic account to each customer account the system is not accepting and saying that "an entry already exists"
    what should i do in this case?
    Thanks & Regards..
    Shansar.

  • F110 - Direct Debit Customer Accounts (RFFOUS_T)

    Hi I am currently working on setting up direct debits of customer accounts.  Does anyone have a recommendation of a book that they found helpful for getting the configuration setup or good reading from the user side?  (We are using ECC 6.0). 
    Also I have a couple of generic questions regarding F110 and Terms of Payment:
    1.  Do you recommend using the Terms of Payment to set the Payment Method?
    2.  In general do you use Terms of Payment with an immediate Due for this Payment Method?
    At this point in time I have gotten the program to work, but would like to understand it better!  Thanks for any help.
    Edited by: Cheryl Taylor on Sep 28, 2009 10:30 AM

    Raj - and everyone else who is looking this issue is resolved.  The Bank sent an incomplete specification.  I can create the outgoing wire transfer - code  22 is the appropriate Checking Credit Code on the 6 record
    Edited by: Cheryl Taylor on Nov 23, 2009 4:07 PM

  • Deductions not posting to the Customer account

    Hello Everyone,
    I am doing testing for Lockbox and having issues with customer deductions. when I upload a Lockbox file into SAP it properly identifies the various line items based on the invoice numbers but our customers sometimes include deductions on the checks as well, which is a regular practice on their part.
    These deductions are listed as separate line items in the Lockbox file, the issue is instead of posting as a debit to the customer account the deductions are going to Gl # 4****00 which is a Unprocessed customer deduction account. ( This GL A/C is defined in Transaction OBXL)
    Is there a way to have these deductions go to the customer account instead of posting to the GL.
    Thank You.
    Edited by: Moiz Huseni on Jul 11, 2011 2:18 PM

    Hi,
    If the example entry like below
    Dr Bank/Cash a/c          970
    Dr Pymt Diff. a/c            30
    Cr Customer a/c                        1000     
    The difference amount is captured at both GL and Customer level right?
    Then, why in your case only it is going to a GL account
    Rgds
    Murali. N

  • Post Directly To Customer Reconciliation Account

    Dear Experts,
    We are facing the following problem in one of our Clients system.
    They have uploaded the opening balance in a Customer Reconciliation GL Account ( Its an alternate reconciliation account ), here onwards reffered to as XYZ.
    Now after 6 months of Go-Live they realized that the opening balance was uploaded incorrectly.
    Their original entry was like this:
    Dr. XYZ                      100
    Cr. Data Migration GL 100
    When the try to reverse the above entry they get the following error: "Account XYZ in company code ABCD cannot be directly posted to" Message No: F5354
    Now i have two questions ( Disclaimer: These questions might sound very silly, but trust me I am seriously lost here. )
    1. How was this entry posted in the first place? I have checked the change logs for GL XYZ, no data exists that shows that the reconciliation indicator has been changed. The reconciliation Indicator is customer from beginning.
    2. How to reverse the above entry?
    Any usefull suggestions will be generously rewarded.
    Regards,
    Priyank.

    Dear All,
    I am sorry for replying so late to this Thread.
    We found the root cause of the problem. Some one has changed the Table Entries (SKB1-MITKZ) for  the GL Master of Customer Reconciliation Account. This was the reason that the GL account was showing as Customer Reconciliation Account.
    Now when we tried to reverse these changes the system didnt allow us as it needed some entry in that field and keeoing it blank was not an option. Even the input help didnt show any blank field.
    So in order to overcome the above shortcoming, we wrote an ABAP program to change the field value to Blank.
    So learning is that you should never use Table Edit without having proper knowledge of how Tables behave.
    Thanks all for your Support.
    Am Closing the thred.
    Good Bye.

  • Posting directly to tax account in Cash Journal

    Dear all,
    How can I post to tax account in cash journal without specify tax code.
    My business scenario is as follow:
    Use FBCJ to pay tax to Tax authorities.
    Debit Tax account
            Credit Cash
    But when I do this, system requires to input a tax code. I cannot input tax code with rate is zero. But if I enter tax code with rate 1%, 2% .... this line items will appear in Tax Sales & Purchased reports. It's not correct.
    Do you know how to fix this issue ?
    Thank you very much for your help,
    Regards,
    Sylvecat.

    Hi,
    In the GL account of Tax A/c in Control data, input All tax types allowed and tick posting without taxes allowed box.
    Regards,
    Sadashivan

  • Activating Direct Posting to G/L Accounts and Material Accounts

    Hi,
    Can anyone plz tell me with some examples ,what is the relevance of this ,'Activating Direct Posting to G/L Accounts and Material Accounts'.
    Link for this is as below :
    spro/Materials Management/ Logistics Invoice Verification / Incoming Invoices / Activate Direct Posting to G/L Accounts and Material Accounts
    Whether normally everyone will use this or not ?
    regards,

    Sandeep
    In Logistics Invoice Verification, you can also post invoices that do not refer to a purchase order or a delivery. A typical example of this is a bill for expenses.
    As in the case of an invoice with a reference, you first need to enter the header data and the vendor information.
    In contrast to invoices with a reference, the system does not display any proposed values for the invoice items, since it cannot determine any purchase order items and posted goods receipts for this invoice. As a result, the system does not know which accounts are affected by the offsetting entry for the vendor line item. Therefore, you must specify which accounts the amounts are to be posted to. The SAP System provides the following options:
    • Posting to a G/L account
    You post to G/L accounts if you, for example, want to settle small amounts for freight costs and similar items and do not want to add these to the material accounts or cost accounts for the invoice items.
    • Posting to a material account
    You post to material accounts, if you, for example, want to debit or credit a material without using a purchase order reference
    You can also combine these options by generating the relevant posting lines one after the other, or by generating lines with reference to a purchase order.
    When you enter an invoice without a reference, you may find that a vendor has not been created in the system. You can post this invoice to a one-time account.
    You can have activated this functionality if you want to post directly to GL account and material.
    Hope this clarifies
    Thanks & Regards,
    Sridhar

  • Account 140000 in company code 1000 can't be posted directly to

    I am an SD guy. This error comes up when entering the account # in the "post incoming payments. f-28. Any answer will be rewarded.
    Thanks

    Hi
    Well, actually your G/L account 140000 is a Reconciliation account and you cannot post directly to Reconciliation accounts.
    Just as you know, <b>Reconciliation accounts</b> are used for Customers (D), Vendors (K) and for Assets (A) and acts as a Subsidiary ledger where you can view all the account balances for a particular account.
    In <b>F-28</b> you need to assign a Bank G/L account or a Cash account for a direct posting.
    Hope it clears your doubt.
    Assign points if it is helpful.
    Regards,
    NareN.

  • Amount posted to G/L Accounts

    When I save the billing document, the amounts are posted to G/L accounts. Can some explain me the logic for posting signs - like
    Customer account is posted +ve
    Sales Revenue is -ve
    Discount is +ve etc

    Hi Sunil,
    When ever you prepare a billing document it creates an entry in General Ledger as Trial Balance has to be generated for the company all the expenses for a company should be recorded in GL. So that a company can see view their profit/loss figures.
    As Billing is a sales related transaction it creates an GL Entry where in
    Debits    --> Customer Account
    Credit     --> Sales Revenue Account
    And when the Customer Makes a payment with reference to the bill
    One more GL Entry will be created i.e
    Debit     --> Bank Account
    Credit    --> Customer Account
    With this we can track the customer balance (What ever balance is there in Customer account is customer Balance)
    I think this is very clear with respect to the question you had asked.
    Reward points if it helps.
    Regards,
    Sreekanth

  • Link Recon account to customer account group

    hi guys,
    Where do we link a reconciliation account to the customer account group?
    thanks
    srik.

    We do not link recon account to the customer account grp.
    account group controls
    1) the interval for the account numbers
    2) whether the number is assigned internally by the system or externally by the user (type of number assignment)
    3) whether it is a one-time account
    4) which fields are ready for input or must be filled when creating and changing master records (field status) we control the field of recon account from the account group.
    we will assign the recon acc when creating a customer master data so that
    (When you post to a customer account, the system automatically makes a corresponding posting to the appropriate reconciliation account in the general ledger. This means that it is no longer necessary to transfer the figures from the sub ledger accounts to the general ledger before creating the balance sheet.)

  • Activate Direct Posting to G/L Accounts and Material Accounts

    under configuration if we tick on "Activate Direct Posting to G/L Accounts and Material Accounts"
    then what would be the impact?
    Thanks & Regards
    Nitin Gupta

    Hi
    When u tick "direct posting the material"  material tab will be available in MIRO screen ( along with PO reference )
    here u can post invoices w/o reference to PO directly material account
    Check info Given by SAP
    If you have activated posting to material accounts in Customizing, you can enter invoice lines without a PO reference on the Material tab page. These lines are then posted to the given material when you post the invoice
    When posting directly to a material, no posting is made to a GR/IR clearing account. The system posts manually entered material lines directly to the stock account or a price difference account, depending on price control and stock coverage
    Vishal...

  • Issue with Taxes getting Posted to Customer Account in case o Free of Charg

    Hi All,
    We have a requirement in our project where we need to pay tax to government on   giving free of charge items to customers in a Sales order along with normal items.
    But the tax should be not be charged to customer but to be born by us ( Selling company).( Since itu2019s a free of charge   , so customer should not pay the tax)
    The Legal  rule  is that tax should  be calculated on Cost of Goods .
    We have done the necessary configuration to calculate this tax but when the  account posting happen this tax is getting charged to customer account .
    We want to change the configuration so that this should not be charged to customer but to be paid by us,
    For example .
    Product Selling Price = 1000 GBP
    Free of charge , so 100 % discount = -1000 GBP
    Net value of item  = 0 GBP
    Cost of Good  = 100 GBP
    Tax rate = 15 %
    Tax = 15 GBP
    This 15 GBP should not be charged to customer account   but to be paid by Selling company.
    If anyone has faced a similar scenario  and can give some  pointers, please suggest.
    Regards,
    Divyanshu

    Dear friend,
      Maintain R100 condition type ie 100% discount in the last step of your pricing procedure, so when ever you sell item with TANN item category the value will become ZERO. Try this and let use know.
    Regards,
    Sudhir

  • Credit Memo all my material items to be directly posted to Balance Sheet account

    Hi Experts
    My client has a  scenario where for certain items they create a credit memo request document and finally a credit memo document from the VKOA system is picking the revenue bearing GL and posting all the line items to that G/L account
    Manually my customer is again checking and extracting the p/l and posting to balance sheet account
    is there a way where we can directly post these entries to Balance Sheet account
    Best Regards
    Waseem

    Hi Sanil
    Thanks for the quick reply, can we assign a balance sheet account directly in VKOA in the G/L account field or do we need to add this in directly in Provision acc field
    As suggested by you we already have the access sequence with respect to Order Reason, I am just doubtful wether we can directly give Balance Sheet account in G/L account field
    Best Regards
    Waseem

  • Credit Memo is posting Debiting Customer Account instead of Crediting

    Hi Gurus,
    When i use SD Document Category "K" (Credit Memo) for Sales Order type "Credit Memo", first system shows all figures with Negative Sign "-" during my Pricing Condition maintanence at line item level of an Order (Credit Memo).
    Second and most importantly, System is posting the figures as "Debit" to Customer Account when i do the billing for the Credit Memo.
    If I change the SD Document Category to "C" (Order type), only then System Post the figure as "Credit" to Customer Account.
    But the problem is, i cannot use SD Document Category "C", because SAP would not let me reverse the Billing Doc, as it looks for SD Document Category "K" and hence the incomplete Reversed Credit Billing Doc would sit in VFX3.
    Pls advise, how can i fix/configure system with SD Document Category "K", so that, Figures are posted as "CREDIT" to a Customer Account.

    Check the T.Code: VKOA, OBYC & OB40 settings for account determination.
    Regards,
    Rajesh Banka
    Reward suitable points.
    How to give points: Mark your thread as a question while creating it. In the answers you get, you can assign the points by clicking on the stars to the left. You also get a point yourself for rewarding (one per thread).

Maybe you are looking for

  • Urgent: Hierarchy

    Hi, I have one zinfoobject in which i added hierarchy with 3 nodes. Now for those hierarchy nodes data been loaded into the ZTables and created view from those tables. Finally i have to load data into hierarchy through abap code. Now i am confused th

  • Wish list-Channel display, need more favorites, need easier navigation to delete and view

    1) Whenever I change channels, I get an info overlay that shows time, channel, and brief info--it fills about lower 1/4 of screen and does not go away for 5-6 seconds. How to get rid of this display or display for 1-2 seconds so I can see what is on

  • Syncing email to iPad

    My imac email is synced to my ipad; however, when i delete items on the imac, they remain on my iPad. What more doI need to do?

  • Deleting RFC classes from model

    Hi, I need to delete RFC classes from a model. The model is used in a different DC and I wouldn't like to remove all the references to the model as the risk to mess everything up seems high. However my RFC classes are never used, I would like to dele

  • Anyone using Quickbooks 2011 on Lion??

    I've been using Quickbooks on my old G4 and have just purchased a new iMac.  I know my old quickbooks won't work on my new iMac, so I've been thinking about buying Quickbooks 2011.  The reviews for it, however, are horrible.  I have a very small busi