Cross company payment

HI Experts,
In My company Business wants the follwing secnorio, could any one can help me in this.
Under one company we have 7 co.codes (all are located in different countries), when we purchasing the goods from one vendor(xx) for all the co.codes using different purchase orders.
for example  the supplier has issued invoice number 123 in the amount of 1,000,000 with the following purchase order references:
Co.Code       Amount
1000             500,000
3000     374,400
5000     125,600
Total             1,000,000
Currently, because of the system set up wherein purchase orders assigned under a specific company codes is not possible to be posted on a different company code.  Hence, our processors end up posting the same invoice in 3 parts.  Likewise, payment applications were done as well in 3 parts, in this example
if the abovementioned example is possible to be posted and paid via one document number (some sort of cross company posting).
All three co.codes are in different countries (Co.Code currency is differ) but using same fiscal year Variant and same chart of accounts and same controlling area. One Group currency.
Regards,
suda

you said you are having different POs to diff Comp codes and each PO has its unique reference so how is it possible that the invoice is posted in total.  its not going to happen .
but on the controlling side you can post them through allocations

Similar Messages

  • Cross company payment through F-53, error in Check deposit & check issue tr

    Hi
    I have just joined the community and ready with 3 queries.
    Please.......... help me to resolve.
    i) While executing the cross company payment ( company code 1300 making payment for vendor in company code 0013) using transaction code F-53, I am getting error 'vendor not defined in company code 1300'.
    For F-53 screen, vendor is selected from company code 0013.
    I have executed APP (F110) successfully in company code 1300 for paying the same vendor in company code 0013.
    ii) For check deposit transaction, error is " entry 1300 is missing in table TO43S'. (1300 is a company code)
    iii) For check issue transaction, error is "no batch input data for screen SAPMF05A'
    Thanks
    Rekha

    1. Don't give vendor number in the main screen, give all remaining inouts and press enter, then it'll show the second screen
    there you can give the company code and vendor account.
    2.  Cretae a tolerance group for GL accounts in OBA0.
    Don't post more than one query in the same thread.
    Rgds
    Murali. N

  • APP Run for Cross Company payment for multiple vendors (F110)

    Hi Experts,
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    C.Cod, ITH and IHK,
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    Hi,
    In T.Code: OBVU, please maintained the Company Code and Paying code relation.
    Secondly, you need to customise cross company code transaction in T.Code: OBYA
    If found usefull, please assign points.
    Regards,
    Harish

  • Cross Company Payments

    Hi Guys,
                I had raised vendor invoices in company code 2000 for a vendor 1001 and using F-53 I made a cross company paymetns from the company code 1000. Here is that i need to extract a paymetns in the form of a text file to a bank for the payments. Here my question is, do we need no extract the payment document related to company code 1000 or 2000 .I It is easy to fetch payments and incoice records with refer to company code 2000 but i was not able to fetch invoices with refrence to the payment document in company code 1000 . Please some one can light on this.
    With Regards
    Pradeep N

    Hi,
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    any doubts get back me
    Regards
    T N R

  • Payment term is not being pickedup in cross company code transaction

    Dear Friends,
    In one of the cross company code transaction scenarios (MIRO), We post a invoice in HQ books to bill on outside vendor. In subsidiary books one more cross company code document will get generated automatically, as billing on HQ as a vendor. In that second document, payment term is not being pickedup.
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    In B books one more entry will get generated automatically as GRIR account debit and A (defined as vendor in B books) account credit.
    In B Books payment terms are maintained in vendor master record (A vendor).
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    Suresh

    Hi
    Assign the payment terms in Purchase Organisation level in Vendor Master Record.
    Regards
    Shammi

  • How to configure Funds Transfers, Cross Company Code Vendor Payments, Bill

    Hi All,
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    Chandra

    Hi Chandra,
    This is what you need to do to configure <b>Cross Company Code Vendor Payments</b>.
    Execute transaction code <b>OBYA</b>, when prompted, type in 1st coy code, say A and then 2nd coy code, say B. This would take you to the "<b>Maintain FI Configuration: Automatic Posting - Clearing Accounts</b>" screen.
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    Posted in : A
    Cleared Against : B
    Under Receivable
    Debit Posting Key : <b>01</b>
    Account Debit : Account Number (The account can be a G/L account, a customer account or a vendor account)
    Under Payable
    Credit Posting Key : <b>31</b>
    Account Credit : Account Number (The account can be a G/L account, a customer account or a vendor account).
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    Posted in : B
    Cleared Against : A
    Under Receivable
    Debit Posting Key : <b>01</b>
    Account Debit : Account Number (The account can be a G/L account, a customer account or a vendor account)
    Under Payable
    Credit Posting Key : <b>31</b>
    Account Credit : Account Number (The account can be a G/L account, a customer account or a vendor account).
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    I hope the above helps.
    Do not forget to award the points please.
    Regards,
    Jacob

  • Version 4.6c Cross Company Code Incoming payment to lockbox.

    In version 4.6c I am trying to find out the correct IMG configuration for processing incoming payments to a lockbox when multiple companies are using one company for banking.  Here is what I have done so far:
    Here are the company codes:  2100 has house banks and lockbox set up.
                                                      0980 does not have house bank or lockbox.
    OX16 - all both company codes involved are assigned to the same Company.
    OBVU - Non-bank company code  0980 has 2100 set up as Paying Company Code
    OBYA - Clearing accounts have been set up between 0980-2100.
    OB05 - Accounting Clerk has been set up for both company codes.
    OB10 - Lockbox from 2100 has been set up  for 0980.  Even though 0980 does not have a House bank set up, IMG Configuration did allow the lockbox and house bank for 2100 to be saved under 0980.
    OB96 - Forms to be used were linked to 0980
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    Can someone please explain how to complete the configuration for this type of activity in version 4.6c?  Also should we be using F-28, FB05 or some other t-code to post incoming payments.

    Hello,
    You can post the cross company code postings even between two controlling areas. The system does not prevent to post documents between two company codes in two controlling area. Need not necessarily they should be under one operating concern. Provided you have to make sure that you have followed the following points:
    In OBY6 - To company codes must be assigned to same Company, meaning that you mus thave created a Company and that company must have been assigned to these two company codes.
    OBYA - You should maintain the clearing accounts in both the company codes. Meaning that you are posting one leg in one company code and the other leg in the other company. Therefore, it is required to have the missing legs in each company code.
    Company Code1 - Posting Key 40 - Clearing Account
    Company Code1 - Posting Key 50 - Clearing Account
    Company Code2 - Positng Key 40 - Clearing Account
    Company Code2 - Posting Key 50 - Clearing Account
    OB08 - In case if the two company codes have different local (company code) currencies, you may maintain the exchange rates.
    You can now go to F-02 and post a cross company code transaction giving the first leg in first company code and the second leg in second company code. Missing leg in the first company code will be posted to the GL Account mentioned in OBYA and the missing leg in the second company code will be posted to the GL Account mentioned in OBYA. That means you will have four line items overall.
    The system will post three document.
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    and
    Document3 - Cross Company Code Document.
    The cross company code document consists of the first company code document number plus company code plus last two digits of the fiscal year.
    Hope this must have clarified your doubts.
    Please let me know in case if you need further details.
    Thanks,
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  • Cross Company Code Incoming Payment Clearing

    Dear All
    Good day to you.
    I would be grateful if I could get advice on the following:
    Process:
    Company Code A is receiving Payment from Customer Z of Company Code B
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    F-32 Customer Z's Invoice of Company Code B cleared against the Payment received by Company Code A.
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    Ideal solution needed
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    To achieve the ideal solution above what are the configurations (if any) needed.
    Thanking you in advance.
    Regards
    Siddique

    Hello,
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    In OBY6 - To company codes must be assigned to same Company, meaning that you mus thave created a Company and that company must have been assigned to these two company codes.
    OBYA - You should maintain the clearing accounts in both the company codes. Meaning that you are posting one leg in one company code and the other leg in the other company. Therefore, it is required to have the missing legs in each company code.
    Company Code1 - Posting Key 40 - Clearing Account
    Company Code1 - Posting Key 50 - Clearing Account
    Company Code2 - Positng Key 40 - Clearing Account
    Company Code2 - Posting Key 50 - Clearing Account
    OB08 - In case if the two company codes have different local (company code) currencies, you may maintain the exchange rates.
    You can now go to F-02 and post a cross company code transaction giving the first leg in first company code and the second leg in second company code. Missing leg in the first company code will be posted to the GL Account mentioned in OBYA and the missing leg in the second company code will be posted to the GL Account mentioned in OBYA. That means you will have four line items overall.
    The system will post three document.
    Document 1 in First Company Code
    Document 2 in Second Company Code
    and
    Document3 - Cross Company Code Document.
    The cross company code document consists of the first company code document number plus company code plus last two digits of the fiscal year.
    Hope this must have clarified your doubts.
    Please let me know in case if you need further details.
    Thanks,
    Ravi

  • Cross company code payment - Reallocation of discount

    I have a peculiar requirement and I am out of my wits to find a solution. I am confident that our Forum members will give me a solution to this.
    The scenarios is like this. There are 122 company codes and there is lot of cross company code payments. Meaning one company code say '0001' pays on behalf of the other 121 company codes. At the time of payment the following enter is passed:
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                 Debit Inter-company customer
                 Credit External Vendor
                   In the other company codes:
                  Debit Expense (A cost center is assigned to this GL)
                  Credit Inter-company Vendor
    At the time of payment to the external vendor the following entry is passed:
                 Debit External Vendor
                 Credit Bank.
    So far it is good. But now if the Vendors term allows discount of say 2% then at the time of payment the entry generated is :
                   In the paying company code
                  Debit External Vendor
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                  Credit Bank
               No entry in the other company codes.
    In case the payment term of the vendor allows discount then  the client wants the discount to be posted as follows:
                     In the paying company code
                  Debit External Vendor
                  Credit Inter-company customer
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                  Credit Bank
                    In the other company codes
                   Debit Inter-company Vendor
                   Credit Expense account (the one which was originally debited)
                                                       (the same cost center should also be credited)
    How can this be achieved. I know there is no standard functionality to do this. But can somebody suggest a logic for the Z program.
    Thanks in advance.
    Kalyan

    Guys, be specific in your answers. If you do not know, please refrain from answering.
    I am really sorry to state that in this site and also in other similar websites, people just answer questions without knowing what they are talking about.
    I can understand, novices asking questions. But the same novices should not try to answer questions which they do not understand.
    I am sorry to make these comments. But I want this to be a quality site where Practitioners can come and find real answers to questions. I am sure there will be people out their who will support my viewpoint. This will help make the forum more useful. Otherwise somebody seeking an answer to his/her question may spend hours and end up without an answer.
    Kalyan

  • Cross Company code posting is available for recurring payment setup?

    Hi All,
    I could not find the cross company code field for recurring payment setup with useing T code FBD1.
    Vendor is created in paying company code 1000, however, the rent has be booked to cross company code (1001) cost center (2000).
    So, while trying to do recurring payment setup, I could not see the field.
    I know the alternative option that i can use the "Cost Center(1000)" is assigned to CoCd 1000 and do recurring setup without useing cross company code, later i can post the manual journal for correction (as below), however, I do not want use this option.
    Dr/Cr       CoCd                         GL account            Cost Center           Amount
    Dr            1001                         Rent account          2000                      XXXXX
    Cr            1000                         Rent account          1000                      XXXXX
    Please let me know your thoughts on this.
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    Srinivas

    Hi, ok17 is not for cross company,but for CO-FI real time integration.
    Ex. you maintained for "RKL     Actual activity allocation" Dr 123 Cr 567
    Then while posting activity allocation in CO you'll get posting like Dr 123 Cr 567   (with corresponding CO objects)

  • Posting of cross company transaction with different doc types

    Hi,
    The scenario is:-
    We have two companies X and Y.
    X makes a payment to Y with the following FI entries:-
    Company Code X
    Dr Vendor Y
    Cr Bank HDFC
    Company Code Y
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    Cr Customer X
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    Although I am able to map the accounts in cross company code config I am not able to split the transaction of different company codes with different document types.
    Is there any way we can do this in standard SAP?
    Thanks in advance,
    Nitish

    Hi
    As per your issue ...There are no possibilities to post   in sap with different document types.
    If you want you can post cross company code transactions with one document types
    Regards
    vamsi

  • Automatically clear the open items for a GL account cross company codes

    Hi FICO experts,
    Can anyone help me on the following issue urgently?
    There are journal entries posted to same GL account with different company code. Is there any way to automatically clear the open items sitting in the GL account in company code A to against the open items for the same GL account in company code B.
    The example is below:
    Journal in company code A
    Dr. 840410      $100
      Cr. 111300       $100
    Journal in company code B
    Dr. 111301   $100
      Cr. 840410      $100
    Now I want to automatically clear account  840410 by using assignment or text in the journal entry.
    It will be highly appreciated for any instructions.
    Adele

    Hello Adele Wang,
    You can enter cross-company code transactions in one step in the General Ledger, Accounts Receivable, and Accounts Payable application components. This function would be used, for example, for centralized procurement or payment.
    Integration:For centralized payments, each individual company code enters its own invoices separately, while a central company code pays them. When you are clearing open items, the system makes clearing entries between the company codes participating in the clearing procedure. These clearing entries represent the receivables and payables that exist between the company codes in centralized payment.
    Prerequisites:You have specified which company codes are to be processed via a single company code. In this specification, you can distinguish between clearing transactions. You can therefore have different combinations of company codes for incoming and outgoing payments.
    You have specified the clearing accounts that record the receivables and payables between the individual company codes. The system posts to these accounts automatically when clearing the open items.
    You need to make  the required settings in the activity Prepare Cross-Company Code Manual Payments in Customizing for Financial Accounting (Accounts Receivable and Accounts Payable->Business Transactions->Outgoing Payments->Manual Outgoing Payments).
    Features:For each company code, the system generates a separate clearing document. A joint transaction number marks these documents as belonging together.
    Example:For a clearing transaction (incoming payment, outgoing payment), you have agreed in Customizing that if company code 0001 is specified, open items are also selected from other company codes (0002 and 0003).
    Hope I had been able to help you. Please assign points.
    Rgds
    manish
    Clearing can then also be carried out if the account to be cleared has not been created in company code 0001. As long as no items have to be posted to this account in company code 0001, it is not necessary to create a master record for the account in company code 0001.
    See also:

  • Cross company code posting

    hi
    while posting cross company code posting in F-02 for customer,the open item is not cleared
    ex: com.code:1000 have customer debit balance
    the customer paid to com.code 2000
    in f-02, 40 bank in com.code:2000
                 15  cus. in com.code:1000 has been taken in new com.code option
    but open item is not cleared?
    how can i post?
    next in company code 1000- 2000 company balance will be there and same com.code 2000 also will have 1000 com.code balance , how can i clear this
    regard
    sowmya

    you can use F-30 for the clearing at the same time as the posting.
    But it may be better to have the repsonsible person in the customer's company to do the clearing, so he/she knows the payment has been received (although in the same company).
    Current accounts between companies should be "cleared" at regular intervals. ie. offsett asset & liabitily side. It's a business decision on when to clear the balances.

  • Cross company code downpayment posting error

    Hi,
    When I am posting cross company code downpayment in F-48 getting below error.
    "Balancing field "Profit Center" in line item 001 not filled".
    Vendor A/c (Company A)
    Bank clearing A/c(Company B) - Profit center 25000
    Problem it is not deriving the profit center for Vendor reconciliation A/c. I have used document type KZ, check boxes "intercompany postings" and "trading partner" are activated in this document type.
    Default profit center has made for Bank clearing A/c and Cross company code clearing A/c. Assigned Profit center 25000 for Company A also.
    Kindly advice where I am wrong, which is the correct document type to post the Cross company code transactions (Down payment:F-48, charging-off GL open item to Vendor) to derive the profit center for Vendor reconciliation A/c? Or
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    Best regards
    Shanid

    Hi Atif,
    Thanks again for your reply.
    Since we have made Profit center as mandatory in New GL charactristcs this will give the priority to enter the Profit center as
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    I have tried whatever you have said, still it is not working.
    It will be great if you give a solution for this.
    Regards
    Shanu

  • Cross company code transaction in cash journal

    Hi,
    Is it possible to do cross company code transactions in cash  journal ?
    Eg:
    i want to make a  payment ,from cash journal of cocd 1000  to  cocd5000.
    i should book the payment  only thro cash journal .
    Regards
    Guru

    Hi Guys,
    No cross company code transactions can be made thru CJ. Reason being, CJ is created under a company  code & generally related to a specific BA and handles petty cash. But u r not using BA.
    So we cannot post corss company code transactions in CJ
    Regards,
    Ajay

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