Configeration part of vendor and customer interest and discount settings

Dear all,
   Pl let me know the vendor and cuatomers discount and interest setting part.
Regards
girija

1st have a look here:
http://help.sap.com/erp2005_ehp_03/helpdata/En/b1/9d5f2eb6154f6b95ffe1f3efecbc9b/frameset.htm
A.

Similar Messages

  • ITEM INTEREST CALCULATION ON VENDOR AND CUSTOMER

    Dear all,
    how to calculate Item interest calculation on Vendors and customers
    what is the configuration need? please let me know it is very needful for me
    Thanks in advance.
    Regards,
      Ram.

    in ob46 we maintain int calculation types under that u can maitain int indicatro name int calculation type(P)and save
    after that u can prepare itme balance interest calculation(path spro/f/a/ap&ar/business transactions/int calculation/int calculation global settings/prepare item int calculation) here
    u can enter int indicator select open itmes check box enter calander type etc.
    define referance itn rates obac here u can enter ref int rate long text short text date from currency and save
    define time dependent terms ob81 here u can enter int indicator currency effective from sequential number term(u can select item int calculation) ref address rate etc.
    enter int values ob83 here u can enter reference int indicator from date and percentage save.
    if u have any doubt let me know.

  • Returnable packaging-vendor and customer sides

    Dear Experts,
    I have searched through the internet as well as on this forum but I was not able to find the information I am looking for.
    I have the following issue concerning the Returnable packaging process in SAP:
    I need to gather overall information concerning the returnable packaging.
    The process is as follows:
    My vendor provides me with some materials that come with returnable packaging (e.g.Pallet01) -> Assuming I am just a middleman, I sell the goods to my customer and also send them on the same Pallet01 (one day my customer must return the pallet to me and I must return it to the vendor).
    - What are the settings I must set in customizing and in material master?
    - How would the process look like in the system (for example are there specific settings I must make to be able to see the packaging per customer in MB58 (I have set item category group LEIH in material master - is this the only setting to assure this, plus I am not sure if the field where I should put LEIH is General item category group or Item category group - both on Sales: sales org.2 tab in material master; Plus is there any way I can control what settings does item category group have? When I go to SPRO Sales and Distribution->Sales->Sales Document->Sales Document Item->Define Item Category Groups - there is no option to click inside the certain group))?
    - In what report I can see how many Pallets I owe to the vendor and how many Pallets each customer should return to me (is there one report that would show everything or do I have to use separate reports)?
    - How do I proceed if the vendor decides to invoice me for the pallets or I decide to invoice my customer (I would like to know the best practices)?
    I tried to enter packaging from vendor to special stock type M (with move 501 M added to the goods receipt for PO), than it's working to see it in the stock report assigned to that particular vendor. But what if (and this is the case) I am selling the goods on the same packaging to my customer? Cause I am not able to add the pallets from special stock M to the outbound deliver.
    Thank you in advance,
    Krystyna

    Dear Vikram Shukla,
    In fact, my question is more related to how to link the returnable packaging with the vendor - raw materials combination (PIR), which for my understanding is more related to sourcing part.
    Anyway, could you please advice how could I transfer my question to MM forum?
    Many thanks in advance and best regards-
    Mengyu

  • Vendor and Customer Clearing

    Dear Guru,
    I want to that why we want to clear the vendors and customers open items before making payment through F-13 or F-44 or F-32
    I am quite confused. Kinldy clearify my doubts.
    Thanks in advance
    Moderator: Please, avoid asking basic questions

    Hi
    Using the account clearing function, you choose and match those open items from an account that balance out to zero. The system marks them as cleared by assigning them a clearing document number and the date on which they were cleared (clearing date). The clearing date can be the current date or a date that you enter yourself. The clearing document number is the number of the most recent document involved in the clearing procedure.
    Since postings do not have to be made during account clearing, documents are usually not created. However, the system might have to make clearing entries if line items from different business areas are part of the clearing procedure as shown in the illustration below. In this case, a document is created, and the number of the clearing document is set in every item cleared.
    Conditions for Clearing
    Generally speaking, you will use the account clearing function for bank sub-accounts and clearing accounts. You would use the check number to select, for example, an item in the Checks Receivable account to clear it against the cashed check.
    Automatic ClearingInstead of clearing items manually, you can also use a program to clear them automatically (provided no new items have to be created to clear the open items).
    For more informations please follow the attached link.
    Hope it will help you
    http://help.sap.com/saphelp_45b/helpdata/en/01/a9b94b455711d182b40000e829fbfe/frameset.htm
    *In case of Vendor*__
    Type of Clearing                       TCode
    Down Payment Clearing             F-54
    Final Clearing                              F-44
    *In case of Customer*__
    Type of Clearing                       TCode_
    Down Payment Clearing             F-39
    Final Clearing                              F-32
    Regards
    Praveen P C
    Edited by: Praveen Chirakkel on Mar 17, 2011 5:29 AM

  • Customer to be also created as vendor and link required

    Hi Experts,
    Invoice is booked to a customer and for which commision needs to be passed as expense and TDS is applicable to such expense. If i create the same customer as vendor and deduct tds while passing commission entry would partly meet my reqirement but client requires to the net balance like in fbl5n for all the transaction made. How to go about this
    Thanks and Regards

    If you are using the print program RFKORD10 for print, then please note the following system behaviour when the selection parameter 'Clearing' is activated: For creating the open item list the customer is the 'leading' business partner, because the correspondence should be sent only once to the business partner.
    For example:
    Customer AB is vendor XY. In the master data AB is linked with XY and vice versa. If the indicator 'clearing' is set in the customer master data and in RFKORD10 the open item list for customer AB contains the open items of customer AB and for vendor XY. But unfortunately the other way around doesn't work for vendor XY. Due to the requirements of many other customer a correspondence should be send only once.
    If a open item list is printed for customer AB with open items of XY and for vendor XY with open items of AB, the same business partners is getting two letters, which is confusing.
    So as workaround you have the possibility to request the correspondence for the customer if clearing with a vendor should be taken into account.
    Hope this information helps.
    Kind Regards
    Soumya

  • Getting all documents(and their line items) on basis of a vendor r customer

    Hello to all,
    I have made a report which takes a range of document dates and querys the bkpf on the basis of bldat(and query bseg on basis of the retrieved belnr). Now want i need is to add another selection(lifnr in case of vendor and kunnr in case of customer) so that if i want to see a particular vendor or customer, i can see only those record(line items).
    i tried querying the bseg on basis of lifnr , but i get only those line items (vendor line item or customer line items)
    i want all the line items.. 
    How to do it ?
    Help needed..Thanks..
    Shehryar

    Hey,
    Accounting document data is stored in the below tables:
    BKPF - Header
    BSEG - Line Item: GL/Customer/Vendor
    BSID/BSAD - Open/Cleared Customer Items
    BSIK/BSAK - Open/Cleared Vendor Items
    BSIS/BSAS - Open/Cleared GL Items
    Follow the logic below:
    For Vendors:
    Select (BELNR) data from BKPF based on BLDAT
    Select data from BSIK and BSAK where BELNR = (BELNR in Step 1) and LIFNR = (User Input)
    Select data from BSIS and BSAS where BELNR = (BELNR in Step 2)
    For Customers:
    Select (BELNR) data from BKPF based on BLDAT
    Select data from BSID and BSAD where BELNR = (BELNR in Step 1) and LIFNR = (User Input)
    Select data from BSIS and BSAS where BELNR = (BELNR in Step 2)
    -Kiran
    *Please reward useful answers

  • Profit Center population in the Vendor and Customer Line items

    hello
    our client is asking for  getting profit center in the vendor and customer line items  where in the view FBL5n and fbl1n we are not getting the profit center populated - in the new gl i understand that there is a standard report based on the gl account.
    but our business is not satisfied with the report and expecting report at profit center level.
    Can any one suggest any way of doing this.
    regards,
    Vijay

    Dear Vijay,
    Let me provide you my view of solutioning for this. This is an enahcement that needs to be done
    1. You can get the profit center from the given vendor and customer line item at the time of posting, using an enahcement you will be able to capture it.
    2. Existing the profit center field is not populated in the BSIK,BSAK,BSID and BSAD tables
    3. Hence, in the same enhancement once you capture the profit center , you can write the code that profit center is updated in these tables also.
    4. This will help you to do the vendor line item wise selection in the FBL1N,  FBL5N profit center wise.
    Constraints of this solution:
    The only constraint remains where in the for a given document if there are multiple profit center, then the system will do the splitting profit center wise for a vendor line item, which will not populate the profit center in those tables as there is only one field available in the bsid etc.. tables.
    This basically would be the one the soltuion where in as seeen from the end user ther eis no change in the front end interface , the way they are doing always they can do.
    You need to also take care the % of document splitting means cross profit center postings /cross document splitting charactericstics postings and the volume involved in this. so that you can suggest this to your client.
    Regards,
    Bharathi.

  • How can i clear the vendor and customer open line items at a time same vendor as a customer of the company (same vendor same customer and equal invoices )

    my vendor and customer are same . purchase invoice due100000 and sales invoice amount is also 100000 at a time with any manual action , have any setting for cleared both vendor and customer line items at a time ...........

    X Ltd. will be Vendor & Customer.
    Purchase Invoice is booked under Vendor SAP number & Sales Invoice is booked under Customer SAP number. Then you can transfer amount from Vendor to Customer or vice versa with T-code F-04.
    Then if you have transferred amount from customer to Vendor (F-04), Vendor account will have two entries Debit & Credit. Then go for clearance with T-code F-44 clear Vendor.

  • Printing confirmation of balance for vendors and customer-urgent

    Hi,
    Thanx Vamsi for the reply.
    I have got 1 more doubt.we are using CUSTOMISED correspondence types.The annexure we give has only the open items.But the users want a list of cleared items to appear in the list.
    Will the confirmation have only open items ???? or can it take even the cleared items along with it.Can the print program be modified to take even the cleared items along with it.
    Kindly advise.
    Thanks in advance
    Regards
    Karpagam

    Hi,
    We are using print program SAPF130K and SAPF130D for vendor and customer respectively.
    My query is can we bring even the cleared items alongwith the open items in the same print program???
    Now we have line items of open line items only?? As per our exploration into the program... we get only open items..
    Also we are using SAP10 and SAP11 as the correspondence type.Kindly advise as to correspondence type should be changed so that it can print both the open and cleared items?
    Please reply ASAP as it is very urgent.
    Thanks in advance.
    Regards
    Karpagam

  • Payment History for vendor and Customer in AP and AR

    Hi Guys.
    Has anyone done the upload of PAyment History from vendor/Customer in AP and AR modules in FI from legacy system.
    if ye s how can we do it ? It is F-06 and F-07 transactions.
    Please let me know if there is a BAPI?
    Thanks for the quick help..
    Vijay

    Thx for the quick answer Andreas. n further discussions we found that the actual requirement is to only have the payment history data for both the vendor and the customer only as a referece. I mean they dont want to have the actual accounts posted for historical data, since we have to anyway have a conversion for the GL accounts related data afterwards.
    I hope i cleared what we want here. Do we have any way we can update the data in this case. Is there anyway we can have data stored in LIS possibly for such cases..
    Any ideas

  • Profit centerwise Vendor and Customer line items view

    Deal ALL,
    We have not activated Business Area.
    We have 10 plant under one company code. Client is booking the vendor and customer invoice as per the cost center and profit center of the plant. Payment and Receipt is also made according the bank maintain for each plant. As one customer or vendor is dealing with all the plants.
    Can any body can help me out how to get the vendor and customer line item display according plant or cost or profit center wise, so we can make or receive payment accordingly.
    Request you all to reply.
    Thanks & Regards,
    Bhadresh

    Hi
    Try the transaction codes for Profit Display by suitable config in TCode O7F1, O7F2, O7F3
    Assign Points if useful
    Regards
    Sanil

  • Invoice image in vendor and customer document

    Hello,
    We have got following requirement.
    Currently we are storing pysical invoice copies of vendor and customer in a pysical file. But now we want to see the image of invoices in vendor and customer document respectively.
    It means, if it is possible to have an attachment button or some icon available when we see vendor and customer document.
    Please advise how can we link the pysical invoice with SAP document. And is this something related to DMS or Archivieng Link.
    Please suggest.
    Best Regards,
    Tapan

    Hi Tapan,
    At my company we are currently doing just this.
    We have a server outside of SAP that stores our images.  We did not want to store the images within SAP.
    We use the SAP document number to link the image to the SAP document.
    We do all our AP input from images. After an invoice is entered, and the document number is generated, we forward the image to a
    e mail address for the server using the document number in the subject line. The image gets attached to the document. Then the image can be viewed by clicking on the Services for object icon.
    I am sure there is some more techical stuff that goes this, like an RFC connection. I am sorry I am not technical. I am the functionala AP person. We also have a program that takes the image and attaches it to the cross company document if there is one.
    Hope this gives you some ideas.
    Alicia

  • Use of Vendor and Customer in 'Define Shipping Data for Storage Location"

    Under the stock transfer order configuration, there is a IMG step <b>"Define Shipping Data for Storage Location".</b>
    In this at storage location level, we can assign, sales org/distribution channel, division and VENDOR and CUSTOMER to storage location.
    The customer number is used a sold-to-party in outbound deliveries.
    <b>But I am not able to figure out what's the use of VENDOR number we are specifying in this step.</b>
    If I am assiging the VENDOR Number here to every storage location, then when I am creating cross-company code Stock transport order, which vendor code I will select the one assigned to PLANT or one Assigned to Storage location.
    <b>Also I need to know what vendor account group I will use for creating this storage location vendor.</b>  I have more than one storage locations) under one plant. Soif I used account group as "0007" plant, SAP doesn't allow me to assigne one plant code to 2 vendors and in vendor master on 'additional purchasing data' screen I am not seeing storage location field, it has only 'PLANT' field.
    <b>So I need to know-
    1. Which account group to use for creating storage location vendor
    2. What's the ultimaye use of this vendor code
    3. What vendor # I will use while creating cross-company PO (one for plant or one for storage location.</b>
    Thanks

    Hi,
    Define Shipping Data
    Here in this step you maintain the customer number of the receiving plant. This customer number is used in SD shipping processing to identify the goods recipient (ship-to party) if stock transfer to be carried out with an SD delivery
    A goods receipt can be planned in the receiving plant.
    You can enter a vendor (transport vendor) in the stock transport order
    In IMG step "Define Shipping Data for Storage Location".
    You can assign sales org/distribution channel, division and VENDOR and CUSTOMER to storage location through Plant only.Means this Vendor is created for entering in the STO .This vendor is created for the the Plant (Supplying Plant)so as u can create STO.
    Rewards If usful
    Regards
    Sanjay L

  • Payment Run - Clearing between Customer and Vendor and Partner Bank Account

    Is there a way to have the bank details for the payment to be pulled from the vendor master if an outgoing payment is created or from the customer master if an incoming payment is created? Our requirement is to consider both vendor and customer items during payment processing.  In doing so, if the net of the clearing between the customer and vendor account results in an incoming payment, we want to use the bank details specified from the customer and if the net results in an outgoing payment, we want the bank details on the vendor master to be used.
    As such we tick the box on Vendor master to clear with customer and tick the box on Customer master to clear with Vendor.  We have defined 2 payment methods and entered both payment methods on both the customer and Vendor.  We have also entered the different bank accounts on the payment transactions tab of the vendor and customer masters. 
    It seems regardless of resulting payment method chosen, the bank details are getting pulled from the vendor master.

    Hi,
    It is possible without any doing any kind of config or master data changes
    While doing F-53, after entering all the required data in open item selection screen, after getting vendor open line items, go to menu item edit->select more.
    There enter account type as D and company code (customer account no's comp code) and click on process open items
    So you can choose the line items from the other company code's customer also.
    Thanks,
    Srinu

  • Rounding off differences for Vendor and Customer payment

    Dear All,
    Rounding off differences for vendor payment in T Code F-53 is giving the following error when I want to post.
    Item category 06000 not allowed in accounting transaction 1000/0001
    Message no. GLT2001
    Diagnosis
    The online document splitting is active in your system. Here, each document is assigned to a accounting transaction variant and each document row to an item category.
    You determine for each business transaction variant which item categories can or must be posted here.
    The following error occurred for the document you entered:
    Item category 06000 in accounting transaction 1000, variant 0001 is not allowed.
    System Response
    The document cannot be posted.
    Procedure
    Check the document entered, the derivation of the business transaction variant, the derivation of the item category, and the assignment of the item categories to the business transaction variant.
    Please advice
    Regards
    BIJUDAS

    Thx for the quick answer Andreas. n further discussions we found that the actual requirement is to only have the payment history data for both the vendor and the customer only as a referece. I mean they dont want to have the actual accounts posted for historical data, since we have to anyway have a conversion for the GL accounts related data afterwards.
    I hope i cleared what we want here. Do we have any way we can update the data in this case. Is there anyway we can have data stored in LIS possibly for such cases..
    Any ideas

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