Clearing vendor payment by app after adjust his dues to be recd.

Hi Experts
I have scenario regarding clearing of vendor payment thru app
I have due amount 5000/- to be paid to a vendor (he is also our customer) and his dues are 2000/- to be received. Can we make payment only 3000/- by adjusting his dues thru app. Please tell me settings. After makings settings like "clear vendor" in customer master and clear customer in vendor master while app steps i am not getting message like schedule payment run generated.
Thanks and Regards
Bhaskar

Damn, just ignore my replies
Vj

Similar Messages

  • Vendor payment through app

    hi
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    invoice booked for vendor : Mr - X   in f-43
    client requested to pay  third party   - Mr y through app (check)
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          Mr X    - 70000 inr
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    Hi,
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  • Possible to clear vendor open item against already posted payment document?

    Hi
    Can you advise if it is possible to clear an open item against already posted payment/clearing doc? Here is the background to the scenario:
    An invoice was posted with transaction FB60. This was subsequently picked up in the payment run F110 and cleared by payment document number 200005678. The item went to the bank on the paymnet file and was paid out to the vendor. The transaction reference, which appeared on the incoming bank statemnet was the payment document number 200005678.
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    Hi,
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  • How to clear vendor open items if vendor invoice currency and payment currency different

    Hi All.
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    Payment is in INR - 60000
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    Vendor A/c Dr 60000 (invoice)
    Vendor A/c Cr 60000 (Payment)
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    Regards,
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  • Clear Down payment against Vendor Invoice through Automatic Payment Program

    Hi
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    Hi srinivasulu,
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  • Vendor payment having two bank accounts in same branch, through APP

    Hi,
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    Kindly help.
    Regards,
    Parin Vadodaria

    thanks,
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  • Adjustment of advance payment after adjusting AUC with Main Asset

    HI,
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    Step 2: GRN- MIGO
    Step 3: MIRO
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    So, what u r suggesting is, no need to reverse the Old AUC settlement in KO88. We can clear the old advances in F-54 and then execute KO88 which means- Re-execute KO88 after advance clearance.
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  • Save automatic vendor payment run reference in clearing account assignment

    Hi,
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    When multiple payment runs are made on the same day, it is hard to separate the line items for each payment run, during the banking process. Each payment run appears with it's total payment amount on the bank statement and should be cleared against the corresponding line items on the clearing account and that's where it becomes hard to easily select the line items that add up to the payment amount.
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    Question closed due to lack of replies.

  • TDS is not getting reversed in T.Code:  F-54 -Clear Vendor down payment

    Hi,
    Please help on the below issue:-
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    Regards
    Srinivas

    Hi,
    Please check  whether the Challan has been done for both downpayment & invoice before downpayment clearing was done.may be That is why the system doesn't consider reversal of wht at the time of downpayment clearing as tax has already been remitted.Please refer with_item table. The int challan number & dateare for the downpaynment & for the invoice.
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    Ravinagh Boni

  • CENVAT reversal of capital goods after Vendor payment

    Hello all,
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    Hi,
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    return material to vendor after IV is done + CIn
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    Biju K

  • Vendor Payment Terms config for 30%advance 70% after GR

    Hi Guys,
    How to configure Vendor Payment Terms for " Vendor Payment Terms config for 30%advance 70% after GR "
    Please suggest your expert comments.
    Thanks in advance.
    Regards,
    Jackie

    sappassion2011 wrote:
    Hi Guys,
    >
    > How to configure Vendor Payment Terms for " Vendor Payment Terms config for 30%advance 70% after GR "
    >
    > Please suggest your expert comments.
    >
    > Thanks in advance.
    >
    > Regards,
    >
    > Jackie
    Hi Jackie,
    Do them in trxn OME2
    Regards
    Shiva

  • Vendor open line item amount payment in app through different house banks

    Hi,
    Kindly Help me.
    Our client requirment is vendor open line item amount payment in app through using different house banks is it possible.
    Please let me known
    Thanks & Regards
    Ramu

    Hi
    Generally , you can assign a default house bank and account id in the vendor master record. During execution of  Automatc payment program  this house bank will be used ( provided your APP configuration via FBZP and APP parameters are in line ). However, you can change the default house bank at the document line item level to a different house bank and this would be checked with house bank configuration via FBZP ( and your APP parameters ) and payment made via the preferred house bank .
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    Hope this helps.
    Regards
    VidhyaDhar

  • How to clear the Residual & partial payment through app

    Hi Experts,
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    Regards,
    Nivas99

    Hi Nivas,
    Partial payment is possible throw app but not possible residual payment.
    Partial payment u create a payment request p as a special indication u can try.
    I hope this is help full u.
    regards,
    venkatesh

  • Need BAPI for F-54 Clear Vendor Down Payment

    HI Gurus,
    Is there any BAPI available for clearing vendor down payment? We can use F-54 tcode to do it manually.
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    Thanks & regards,
    Murphy

    Hi,
    Looks we don't have any dedicated BAPI for F-54..You can check 'BAPI_ACC_INVOICE_RECEIPT_POST' for your requirement...
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