Configuration of Wires as payment method

What is the configuration done to set up "wires" as payment method. Please provide steps. I know setting up payment co. code, creating pmt methods per co. code and all those steps. All I want to know is what is needed to be configured in DME and the sapscript for wires. If anyone has done that, please provide the steps.
Thankyou in advance.

The need to define "wires" is purely business decession. If the users want to identify the vendors and restrict mode of payment to "wires" only, then you go for that.
Just add this method to the vendor master data.
reward if useful.
sarma

Similar Messages

  • Configuration of ACH and WIRES as payment methods

    I chose the correct program in Classic Payment Medium which is RFFOUS_T to make payments by WIRES. When I go to paymetn run, in the proposal log I get the following messages:
    Due items with currency USD, pmnt method - items total is > 0
    Message no. FZ328
    ...none of the payment methods defined can be used for these items
    Message no. FZ347
    ... payment not possible because of reported error
    Message no. FZ311
    Information re. vendor 1000000/ paying company code ABCD ...
    Message no. FZ305
    payments by EDI / IDoc generation
    Message no. FZ797
    IDOcs were generated for the following entries
    Message no. FZ760
    Diagnosis
    A payment IDoc is created for each individual payment. The configuration settings governing this are made in the table containing the EDI-compatible house banks and payment methods.
    System Response
    The house banks and payment methods in question are displayed.
    I have done all the configuration correctly as far as setting up the pmt method. It also exists in vendor master. Where am I going wrong.
    My understanding is that when we use classic payment medium program for WIRES and ACH it is RFFOUS_T. Let me know if my understanding is corrrect? Is there any form that I need to define in SAPscript or any other configuration required from my part. Also if you can tell me how do we distinguish between ACH and WIRES because they use the same payment medium program RFFOUS_T.
    If anyone can provide me with step by step configuration of WIRES in SAP, it will help a great deal and will help me figure out where am I going wrong. Also i someone can tell me the difference in configuration of ACH and WIRES??
    Would like to thank in advance if my problem gets resolved and will definitely assign points.

    The need to define "wires" is purely business decession. If the users want to identify the vendors and restrict mode of payment to "wires" only, then you go for that.
    Just add this method to the vendor master data.
    reward if useful.
    sarma

  • Automatic payment error - no valid payment method found

    I created an invoice which i try to clear in f110. the vendor has the appropriate payment methods specified too but still I get this error "No valid payment method found " for that document.
    kindly assist, if anyone knows where can be the error.
    this is only for one company code.
    thanks

    Hi,
    Check the configuration of Automatic Payment Program.  Check "Bank Determination" and verify whether the paymetn method is set up for the House Bank determined by Automatic Payment Program configuration.
    If the payment method in invoice or vendor master does nto match with the payemnt method set up for the house bank, you may get this error.
    Regards,
    Chirag
    Pls. award points if this is useful.

  • Multiple Payment Methods problem in F110 - Parameters

    <b>Prob : Wehn I enter more than one payment method in Parameters in F110 only the 1st Payment method entered is saved. The other payment method gets deleted automatically.</b>
    Following is already done :
    1. All the payment methods entered in F110 Parameters is already maintained in
    the vendor master.
    2. In FBZP - Payment Method for Country & Payment Method for Company Code
    is configured for all the payment methods.
    3. Also Invoices in FI (FB60) are posted for all the payment methods without any
    errors.
    4. Ranking order is maintained for each payment method & for the house bank
    used.
    5. Account determination is also maintained for all the payment methods for the
    respective house bank.
    6. The maximum amount is also maintained for all the payment methods under "Payment Methods for Comapany Code".
    Pl help to resolve this problem.

    hi,
    My problem is in the parameter stage 1st Screen.
    Also you cannot assign more than one Payment Method in the Print Variant.
    Also this variant is used only for printing. Its not called at the stage when I am entering the Payment Method in the 1st screen in the Parameter.
    I have somewhat found out what the problem is.
    I guess there is some change done in the standard SAP program, becuase if i type more than one payment method in the Parameter 1st screen and try to save it, it returns with a warning message "Only one Payment Method can be entered". This is a unique msg which has been written through a Z Program.
    Thanks.
    Bye.

  • Issue in Multiple Payment Method - in  "F110 Parameters"

    Prob : Wehn I enter more than one payment method in Parameters in F110 only the 1st Payment method entered is saved. The other payment method gets deleted automatically.
    Following is already done :
    1. All the payment methods entered in F110 Parameters is already maintained in
        the vendor master.
    2. In FBZP - Payment Method for Country & Payment Method for Company Code
        is configured for all the payment methods.
    3. Also Invoices in FI (FB60) are posted for all the payment methods without any
        errors.
    4. Ranking order is maintained for each payment method & for the house bank
        used.
    5. Account determination is also maintained for all the payment methods for the
        respective house bank.
    6. The maximum amount is also maintained for all the payment methods under "Payment Methods for Comapany Code".
    Pl help to resolve this problem.

    hi,
    There was a user exit which was restricting the input of more than one payment method in the parameters in F110
    If you remove this user exit the problem will be resolved.
    Rgds
    Prasad.

  • Payment method with new bank details

    Hi All,
    im using a program to print the salary cheques for certain payment methods, after running the payroll.
    but now that the new bank details is not updated when i try to print the cheques.still looking at the old bank details for a payment method.
    so could any one help me whether do i need to update any configuration link for the payment method and bank details.
    Thanks in advance.
    Sud

    Hi Sumit,
    I have one problem for creating employee as a vendor. For creating employee as a vendor we are using PRAA T.Code. While creating system is picking House bank as a DB but according to my company code our house bank is SB01.
    I believe this is becoz of DTAKT Feature. Can you pls. guide me how to maintain return value for this feature.
    5-character code for bank: This is house bank Code?
    5-character bank account code: It means bank key of house bank?
    Thanks & Regards
    Rajesh

  • Populate payment method automatically in BSEG-ZLSCH from customer master

    Hi Guru,
    Any idea how I can set up SAP so that the payment method in customer master is automatically populated into field BSEG-ZLSCH when posting CUSTOMER invoices.
    I noted that this is automatically done for vendor invoices.
    Many thanks
    Linda

    If it is automatically happening in case of vendor invoice, it is probably coming from the payment method defaulted in the payment term configuration in OBB8.  Payment method does not default from the vendor master or customer master.  Payment term does get defaulted from the vendor / customer master into invoice document entry.
    This is how it works - when you specify payment method(s) in customer/vendor master, automatic payment program considers them along with the payment method configuration in FBZP (payment method in country / company code, bank determination, etc.) and then determines the payment method for the automatic payment program.  When you do not want system to do it, you can override it by specifying a payment method during invoice document entry into the system.
    If you want a payment method to be defaulted during invoice entry, I guess the only way is to write a substitution rule using T Code OBBH.

  • Payment methods for Wire transfers

    Hello,
    I want to decide which payment method to configure for wire transfer out of the standard SAP methods:
    D     Bank transfer (ACH CCD)
    P     Bank transfer (ACH PPD)
    T     Bank transfer (ACH CTX)
    What is the difference between each of these transfer types, if someone can pls suggest will appreciate that.

    Win:
    CCD:       
    Cash Concentration or Disbursement
    Cash Concentration or Disbursement can be either an ACH credit or debit where funds are transferred between corporate entities.
    The format can support a limited amount of payment related data with the funds transfer while also being capable of a stand-alone funds transfer.
    PPD:
    Prearranged Payment and Deposit Entry
    Direct Deposit - Direct Deposit is a credit program that transfers funds into a consumer's account at the Receiving Depository Financial Institution. The amount deposited can be from a variety of products, such as payroll, interest, pension, dividends, etc.
    Pre-Authorized Bill Payment - Preauthorized payment is a debit program enabling companies with billing operations to collect funds from consumers thorough the electronic transfer of bill payment entries.
    The consumer grants the originating company authorization to collect periodic charges to his or her account as bills come due. This concept has been successful in both recurring bills of regular amounts (mortgage payments) and variable amounts (utility bills).
    CTX:
    The Corporate Trade Exchange format supports transferring of funds, either credits or debits, within a trading partner relationship utilizing a full ANSI ASC X12 message or when payment related UN/EDIFACT information is sent with the funds transfer.
    Multiple addenda records contain the ANSI or UN/EDIFACT information.
    More info on
    http://www.treasurysoftware.com/ach_file_format.html
    http://en.wikipedia.org/wiki/Automated_Clearing_House
    Assign points if info helps
    Vj

  • Payment method configuration

    Need help in configuring the Wire Payment method without using EDI. I did the config using RFFOUS_T as the payment medium program. But it is not working out. Please provide complete, detailed config steps for setting up this payment method.
    What should be filled in the program variant RFFOUS_T when setting up payment parameters?
    Please also let me know what are the various ways of setting up wires payments (for eg, wires thru EDI, wires without EDI )
    Thankyou very much

    Hi Lakshmi ,
             I implimented wire transfers in one of clients.
    I am giving detailed procedure with journal entries.
    Just see the below :---
    Automatic Payment Program (APP) for Funds Transfer.
    1)     Purchase Invoice from the Vendor. (F-43) : --
                            Inventory Raw Material a/c DR 1,000
                                              TO    Vendor a/c          1,000                  
    2)     APP (F110) :--
    Maintain Parameters.
    Schedule Proposal.
    Edit Proposal.
    Schedule Payments. : In this step, Paying document generated.
                        Vendor a/c DR 1,000
                                        TO Check Issue a/c (clearing a/c) 1,000
         Note for 2nd point:   We are making Payment to Vendor by Bank Transfer.
    That means Company Code House Bank is depositing the
    Amount in Vendoru2019s House Bank through online Transfer.
    3)     We need to Pass the Vendor bank details to the our (Company code)
    House Bank for online Transfer.
                 Vendor bank details contain the following details:--
                             Vendor Name.
                             Vendor Bank Name.
                             Vendor Branch Code.
                             Vendor Account Number.
    Note for 3rd Point:  The End user need to run the u201CZ Programu201D in SE38  for extracting the Vendor Bank details to Excel or Word Document on Desk top of Computer.
    For this, we need to prepare the Functional Specifications defining the logic
    That contains the Table names.  Latter I will send to you Logic.
    4)     Now the End user have Extracted  Excel or Word Document on his Desk top.
    The End user should have an access to login to Companyu2019s House Bank Portal (website) in order to upload the Excel or Word Document.
    5)     Based on the Excel Sheet that the End user upload ,
    Company House Bank will transfer the amount to Vendors bank.
    And this information will be updated in Company House Bank Website.
    6)     The End user login to Company House Bank website and down load the
    Excel sheet containing the Vendor Payment details.
    7)     The End user needs to run the Z Program  and upload this Excel Sheet.
    Automatically the following entry needs to be generated.
             Check issue a/c DR   1,000
                     To ICICI Bank a.c     1,000
                  Note :-- The Check issue a/c will be knocked off.
    Regards.
    Kiran Konujula

  • Payment Method- Wire transfer

    Hi,
    Payment menthod for country is not setup for wires, but it is there for check. Is this only through configuration, or something I can do?.. I am lookin for the solution apart from payment method configuration &  using F-53, Is there any other way to proceed further.

    Hi Gaurav,
    I have checked in SDN, Help.SAP.com. I have clearly mentioned that payment method is not setup for country for wire transfer. I am talking about FBZP. I have 2 methods 1. FBZP 2. F-53, I dont wnat to use FBZP, & For f-53 going forward I have to use f-53 which I dont want. Which is very much clear in my previous query
    I have already read the Rules of engagement before posting. Thanks
    Regards
    Sathish

  • What is the different between payment methods Wire and EFT

    Hi All
    can anybody tell me What is the different between payment methods Wire and EFT ?
    Regards ;

    WIRE:
    Wire is transfer of amount due directly to the supplier's bank it is an electronic transfer of funds
    This mode of payment is used for international suppliers.
    It can be paid in foreign currency or USD.
    Wire payments are same day payments.
    EFT:
    EFT ensures funds transfer from one bank account to another using electronic links.
    Can be used to make payments into domestic banks (within US) in USD only.
    It is faster than check payments.
    Hope this helps.

  • Payment method wire and EFT

    Hi,
    We are already using EFT payment method. Do we need Wire type of pament method ? If yes , what are the possibe reasons.
    What is the difference between the two?
    Thanks.

    Hi
    Do you really need a wire transfer when EFT payment are beig made. Because as far as I know EFT is linked with internet portal being provided by the banker. Then where is the need for wire transfer.
    Regards
    Virendra Malik
    Edited by: Virendra Malik on Nov 19, 2008 9:10 AM

  • Configuring ACH IAT payment method

    Hello Experts,
    We are trying to implement a new payment method (ACH IAT) for client's vendor payments. IAT is a new standard class entry (SEC) code that will replace the CBR and PBR SEC codes currently in use today. NACHA rules will require the IAT code and format of all ACH payments entering or exiting the U.S.
    As this is a newly introduced payment method SAP had introduced an OSS note (sapnote_0001343600) in 2009 which we had successfully implemented. After a payment process the system is successfully generating a DME file. It seems that the DME file which we have sent to the Bank is not complying to the exact format. Some of the errors pointed out are :
    I am also listing the problem data points that business has highlighted :
    1. Record Type 6 u2013 Position 4-12 : Should contain the standard Routing Number that indentifies US RDFI at which the receiver maintains the account. It is coming as 0
    2.Record Type 6 u2013 Position 13-16 : Number of addenda records associated with entry detail record. They should not be 0.
    3.Record Type 7 u2013 Addenda type code 14 u2013 Position 41-74 : Contains foreign RDFIu2019s routing/transit number. Some other value is appearing
    4.There should not be two record types of 7 u2013 Addenda Type code17.
    5.Record Type 7 u2013 Addenda type code 18 : Mandatory foreign bank info (Bank Name, Code for numbering scheme, Bank Identification number) missing completely.
    Looking forward to your valuable inputs from your end.
    Thanks and regards
    Anindya

    Hi Sheli,
    Thanks for the reply and sorry for the late response.
    I have already configured the particular structure for the DME file that has been generated. The issue here is with the data.
    May I ask whether it will be possible for you to kindly help out with the table from where the file is fetching these records. Couldn't figure out those exactly. I think most of the data are being fetched from REGUH, REGUP, REGUT tables but there are some places where the same data which needs to be repeated in another position is not getting populated. Thus I'm not sure whether the system is calling the same table the second time or its some other table.
    It will be of great help if you can help me out with the list of tables from which the DME file is getting prepared specially the following :
    1. Bank Routing Number
    2. Addenda records associated with entry detailed records
    3. Why there are two line items of 717
    4. Foreign Correspondent Bank Details
    Thanks in advance for the help.
    Have a nice day !
    Thanks and regards
    Anindya

  • FI AP:  Payment Method W for wire transfers

    Hello SAP Friends-
    Under t-code FBZP Payment Method in Co.codes, I noticed that we are using the same SAPSCRIPT under payment medium we use for checks.  The problem is that the wires are printing off with signatures on them and the users were wondering if that could be removed?  I was think do we need a SAPSCRIPT for wires and ACH and if so, should we be using a different SAPSCRIPT than for checks?
    What does everyone else do?
    Thank you!

    Thank you GKA-
    But if it is the same SAPSCRIPT for checks, I cannot have the signatures removed right?  Then that would mean the signatures will not print on the checks which would be BAD!  ;o)
    The 2nd option is a possibility but what does your current client do?  What is your experience?

  • Wire Payment Method

    Hi All,
    Presently, Accounts Payable is requesting a new payment method and payment processing for Wire Transfers similar to the process we currently have for ACH payments.  Today wire payments are handled manually in SAP via document postings instead of payment processing.  Accounts Payable will also be requesting an implementation of an ACH register similar to that of the check register.  This will require assigning some type of identification number to the ach payment similar to a check number that is then reportable in SAP. 
    Can any one give an idea to convert wires in to the automatic payment process? Or send the documents related to this requirement.
    Thanks & Regards,
            Prathap

    Hi,
    Please create a new payment method e.g. W for wire payment identification.
    You can keep the same payment program e.g. RFFOUS_T in payment method in contry setup of FBZP.
    This way, you will be able to assign a difference interface to Wire payment method and shall be able to fatch the data in Wire format. you will need to ask the bank for their format in which they would like to have the data. Once they send the format, you will need to change instead of how it appears standard way of SAP. Take help from ABAPer for changing the fields length and format.
    This is how you will be able to process the automatic payment program through Wire payment method.
    Regards
    K Khatri

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