Customer open items ledger

when i run customer  ledger i got it in two currencies because i have two receivebles in euro and usd , but i have  discrepencies the balance in euro and it is equivalent in  usd not matching for example in euro the balance is 100 euro but inthe equivalent in usd 600 usd , i thought it is due to error in posting incoming payments how to slove this problem

Hi,
T.code to Maintain  the exchange is OB09 and Path is SPRO - Financial Accounting (New)-General Ledger Accounting (New)-Business Transactions-Open Item Clearing-Define Accounts for Exchange Rate Differences EXCUTE
Read the following Notes
In this activity you define the numbers of the accounts to which you want the system to automatically post realized exchange rate differences when clearing open items.In clearing open items, the system posts any realized gains or losses
(realized exchange rate differences). You therefore need to define gain and loss accounts. To automatically post exchange rate differences when clearing open items, you have to specify the reconciliation accounts for customers and vendors in the "G/L account" field. If, for example, you want to clear a foreign currency open item on the debit side, you have to enter a receivables account in the "G/L account" field. To automatically post exchange rate differences when clearing bank sub-accounts, you have to enter the numbers of the bank sub-accounts in the "G/L account" field.
Hope the above Notes and Path will Help in solving your Issue.
Thanks
Goutam

Similar Messages

  • EBS Customer open items automatic clearing within tolerances

    Hi Experts,
    We have already implemented Elecronic Bank Statements automatic uploading functionality.  As part of this process, customer open items need to be cleared automatically. 
    As per the standard process, SAP will be able to clear off the open items ONLY if the collection amount (reflected in MT940) is exactly equal to the invoice amount (reflected in the open item).  But general practical situation is that customers may under / over pay.  For example, if the customer invoice is for USD 100,005 the actual payment from the customer could be for USD 100,000.  In this case, it is normal business practice that open item will be cleared off rather than keeping balance USD 5 in ledger and chasing the customer.
    So tolerances are already set up both at GL account level (Trans OBA4) and customer level (Trans OBA3) with blank tolerance group with permitted payment difference of USD 15.  And no tolerance group is assigned to the customer master.  Also account determination is maintained for the differences with nil reason code.
    Inspite of all these settings, I am getting an error message indicating that the difference is too large for clearing while trying to upload this bank statement.  Here the difference is only USD 5.
    My doubts are:
    1. Does the standard EBS program RFEBKA00 considers the permitted payment difference tolerances set in transaction OBA4 and OBA3 ?  I don't need to post the differences with reason code.  That's why account determination is maintained with blank reason code as well. 
    2. SAP Note 124655 (Point No 3) says that entering reasons for differences is not possible in the standard system through EBS.  Does that mean clearing of open items WITHOUT reason code is possible ?
    3. SAP Note 549277 (Point No 5) says that even though Note 124655 specifies certain functionalities as not supported in standard system, they can be achieved by customer through user exits.  Does that mean it is possible to code in the user exit saying that system should consider the payment difference tolerances for clearing off of the open items ?
    Could you kindly let me know your experience with these questions.  I will be very glad to hear from you.  Thanks for your time.
    Warm regards,
    Sridhar

    Hi Experts,
    I got this resolved by using the enhancement FEB00001.  If the field "Distribute by age" is activated through this enhancement, then system will be able to match the paid amount and the combination of open items for automatic clearing.  If there is no exact match, then automatic clearing through FF.5 is not possible as indicated in SAP Note 124655.
    There is no more necessity to use BAdI FIEB_CHANGE_BS_DATA.  Complete relevant logic can be maintained directly in the enhancement itself.
    Have a nice day.
    Regards,
    Sridhar

  • Clearing customer open items

    Hello!
    Can anybody help to find a way how to clear customer open items when there is no reference number in use for customer. In electronic bank statemen there is only billing document number in TXT field. How to configure "Make Global Settings for Electronic Bank Statement" and "Define Search String for Electronic Bank Statement" for that purpose.
    With all the best,
    Merlin

    Hello,
    IMG => Financial Accounting => Bank Accounting => Business Transactions => Payment Transactions => Electronic Bank Statement => Make Global Settings for Electronic Bank Statement
    Give your chart of Accounts
    1. Create your account symbols
    Create freely definable account symbols. Make sure that you are able to identify them when you are configuring in future steps.
    2. Assigning Accounts to Account Symbols
    Here you need to assign the account symbols to GL Accounts or you need to use masking logic. You must have designed your accounts in such a way that the end digits will work for posting the entries to FI. Account Modifier you use as + and use your local currency, if you do not have any foreign currency postings.
    3. Create Posting Rules
    Create freely definable posting rules.
    4. Define Posting Rules (This is the most important configuration for your FI Postings / Clearings)
    a) For all the payments you need to create the entries for posting area 1
    b) For all the receipt you need to create the entries for posting area 1 and 2
    c) Use the document type DZ in case if you want to clear the items. Use Posting type 8. If the invoice number is there in the reference field of bank statement, automatically the same will be selected by the system and cleared.
    d) If you want just only entries to be posted use posting type 1.
    e) If you want to clear the check, then use the posting type 4.
    f) Configure according to the entries to be posted.
    g) If you are going for clearing something the offsetting debit / offsetting credit (as the case may be) need not be given.
    5. Create Transaction Type
    Create freely definable Transaction Type
    Select the transaction type and assign the external transactions to your posting rules.
    For outgoing check use 13 as Interpretation Algorithm and 1 as the processing type.
    Remaining all case use 1 (Standard algorithm) and 5 as the processing type.
    Please also go through the below mentioned note in case if you are required to use further available interpretation algorithms or processing types.
    6. Assign Bank Accounts to Transaction Types:
    You need enter the Bank Key / Bank Account / Transaction type here.
    You can get the the bank key and bank account details from table T012K (Go to SE16)
    Further supplementary notes may be useful to you:
    There are different programs to upload electronic bank statement.
    FF.5 or FF_5.
    I think your case Multicash format you are using.
    You need have three files in FF.5 and two files in FF_5
    You can prepare a Z program in order to truncate the electronic bank statement into two or three part files and save them on the application server.
    1. Take all the external codes list from bank.
    2. Take any available documentation from the Bank describing the relevance of the external codes.
    3. Make sure that your Chart of Accounts (Bank Accounts) last digits logic is appropriate to meet the requirements.
    4. Based on this decide the Account Symbols that are required to be created.
    5. Make sure that the masking rules are configured properly.
    6. Decide the posting rules that needs to be created.
    7. Link up your external symbols provided by the bank with Posting rules and give proper algorithms for posting and clearing logic.
    6. Concentrate on the posting areas to be posted while uploading the bank statement.
    Further explanation would help you to understand the functionality when uploaded the electronic bank statement.
    Main purpose of uploading the bank statement into SAP is to make your Bank Main Account and physical bank statement balance in sync.
    You do not have any traditional Bank Reconciliation Statement (BRS) report in SAP.
    SAP is normally you maintain bank main account and bank sub account. Whenever you make a payment through F-53 or F-58 or F110, the entry would be:
    Vendor Account Dr
    To Bank Sub Account
    The ending digits of the sub-account would be important in configuring the masking rule. Based on this masking rule when you upload the bank statement the entry the system would pass is:
    Bank Sub Account Dr
    To Bank Main Account
    It depends on the configuration, either the sub account will be cleared by the system automatically or you need to run F.13 to clear the sub accounts.
    At the time of receipts, you have different accounting entries unlike payments. It needs to post to two posting areas. 1. GL Accounting 2. Sub-Ledger Accounting
    The entries would system itself pass is:
    Bank Main Account Dr
    To Bank Sub Account
    Bank Sub Account Dr
    To Cutomer account.
    Clearing logic mentioned for your posting rules and the alogrithm used for your external bank symbols will also play pivotal role in clearing the accounts.
    Ideally you will use
    FF67 / FF.5 / FF_5 for uploading manual or electronic bank statement
    FEBA / FEBA_BANK_STATEMENT is used for furthe rprocessing.
    GO THROUGH SAP NOTE 48854
    Please go through SAP Note. 48854. You will get an idea regarding the functionality of the algorithms.
    Though this note is in relevant to GB specific, you will find this very useful.
    description follows below regarding the normal procedure for maintaining table T028G. Due to the different bank codes and posting rules, pre-Customizing is not possible at this point.
    The following processing types are available - unless stated otherwise, you should use the interpretation algorithm: '000 - No interpretation' in each case.
    1. '00': There is no processing. The entry line is ignored.
    2. '01': A validation is made whether an entry exists for the transferred check number in the check table (PAYR). The check number and payment document number are transferred for further processing. Interpretation algorithm: outgoing check processing '011'-'013'; the update in the check file is via the interpretation algorithm.
    3. '02': Transfer of the ending balance to the electronic bank statement
    4. '03': Transfer of the opening balance to the electronic bank statement
    5. '04': Clearing via the allocation number which is delivered with the bank statement. No interpretation algorithm.
    6. '05': Clearing of BACS payments or BACS bank collection. The reference text field is first read to ascertain whether it involves payments initiated by users or bank collection via BACS. Providing it does involve a cash transaction initiated by the user, the payment document numbers concerned are determined via the reference number and transferred as a reference to further processing. Interpretation algorithm: '000 - No interpretation' or '019 - Reference number DME'.
    Note
    To differentiate between the two procedures in table T028G, you have to maintain two separate entries.
    Example: the bank uses bank code '62' for cash receipts and for BACS bank collection.
    Ext. Transaction +/- sign Posting rule Int. Algorithm Processing type 62 + GB62 001 5
    62 SAPBACS + GB63 000 5
    7. '06': Bank costs or interest revenues
    Recommended interpretation algorithm: '000 - No interpretation'
    8. '07': Total amount of cash disbursements
    9. '08': Total amount of cash receipts
    10. '09': Items not paid
    Recommended interpretation algorithm: '000 - No interpretation'
    Regards,
    Ravi

  • Customer line items ledger view in ECC 6.0 other than FBL5N

    HI
    Is there any other T code for customer line items ledger view in ECC 6.0 other than FBL5N
    thanks

    Hi Jagadeesh,
    There are some bunch of reports avaialble in SAP for customer Lines item display,
    S_ALR_87012168 - Due Date Analysis for Open Items
    S_ALR_87012197 - List of Customer Line Items
    S_ALR_87012173 - List of Customer Open Items for Printing
    S_ALR_87012174 - List of Customer Open Items
    S_ALR_87012175 - Open Items - Customer Due Date Forecast
    S_ALR_87012176 - Customer Evaluation with OI Sorted List
    S_ALR_87012177 - Customer Payment History
    S_ALR_87012178 - Customer Open Item Analysis by Balance of Overdue Items
    S_ALR_87012198 - List of Cleared Customer Items for Printing
    S_ALR_87012199 - List Of Down Payments Open On Key Date - Customers
    Please check the above mentioned reports
    Hope its useful to you
    Regards
    Saravanan.A

  • How to clear vendor open items with customer open items in APP?

    Hi Experts,
    Our vendor is our customer - in this scenario how to clear vedor open items against customer open items. I have defined vedor is customer means I have given customer number in vendor master record, selected chek box 'clear with customer'.  Still problem is not solved, hence I am requesting you to help me in this regard.
    Thank you very much,
    Regards,
    Ganesh.

    Hi
    In FBCJ after payment you have clear manually vendor balance in F-44.
    If you want SPL GL in FBCJ then write a Substitution .
    1. step 001 - Special G/L Substitution
    2. Prerequisite - Transaction code = 'FBCJ'
    3. Substitution posting key -- Exit (need help from abap) exit name
                                              G/L Exit (need help from abap) exit name
                                              Special G/L Ind Exit (need help from abap) exit name
    you can't do this without ABAP help
    Best Of Luck
    Tanmoy

  • Customer open item line wise details

    Hi ,
    I have customer open item for 240 days. Now he has made payment today for part amount only. I have cleared this amount against the outstanding amount. Now in FBL5N open item is only for balance amount. BUt when I  CHECK REPORT- S_ALR_87012178 days for the open item is between 31 to 60.
    How this dates are calculated.I have posted document today so it should either come from 1 to 30 day range or in 240 to 300 day range as balance is outstanding from that date.
    Help me to resolve the issue.

    Hai
    The duedate is calculated according to the baselinedate which u will maintain in terms of payment(OBB8).In terms of payment u will maintain baseline date as document date or posting date or none.mostly u would be selcted the duedate as document date thats why i  believe ur line item is showing in between 31-60 days.
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    Raghavendra.M
    SAP-Practice

  • EBS posting to clear customer open items - Function not working?

    Hello SAPers
    I have an issue I just canu2019t seem to resolve! We are receiving MT940 statements and receive customer invoice reference details with field: 86 as follows:
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    15     BLANK          DZ     3      15
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    I have loaded the EBS to the buffer and simulated the search on BELNR and it picks up the document?
    I am sure this is standard and a CMOD is not required on this type of functionality? What have I not done to allow posting to the customer based on document number or to post on account where it is not cleared?
    Any assistance on this issue is appreciated? Thanks in advance.

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  • Function module to clear customer open items

    Hi ,
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  • Customer open item not cleared

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    Hello,
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  • Customer Open Items Document Details

    I am building an application for a client for Purchase Card Processing using Visual Studio 2005. I am able to use VS 2003 to create the necessary object to get the Customer List, Customer Details, and the list of Customer Open Items.
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    Thanks for the response,  but I have already madie it that far...   " I am able to use VS 2003 to create the necessary object to get the Customer List, Customer Details, and the list of Customer Open Items.
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  • Report s_alr_87012178 :customer open items  - Customer classification

    Hi all. The problem concerns the report  s_alr_87012178 which is used to display customer open items.I am selecting  'Customer classification' from the dynamic selections and filling it with a value e.g C.
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    Hi Antish,
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  • Report for customer open item exclude vat

    Dear Experts,
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    You have to customize a report. There is no standard report for this.

  • Need Drill down in Customer Open Item Analysis by Balance of Overdue Items

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  • Z report logic- Customer open item analysis

    Dear Experts
    Our client is using S_ALR_87012178 report for customer open items due analysis.
    Now,here they also need sales group wise & division wise split up. Sales group from SO, not CMR, since   a single/same customer may have different sales groups for different SOs.
    I tried.. but no other report..satisfying this..
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    Now, the challenge is, most (infact all) of the std credit management reports are customer master based, but this requirement (sales group & division) is transaction 9from SO) based.
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    finally if it is exectued then entire effort goes invain.
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  • Function module for customer open item aging report

    Hi all,
    Please let me know the FM for customer open item aging or which FM is used in tcode S_ALR_87012178 to get the age wise open item of customer.
    Thanks in advance
    Regards
    Puneet

    <b><u>Part4</u></b><br />
    <br />
    <pre class="jive-pre"><code class="jive-code jive-java"><font color="red">&quot;&#38;----</font>
    <font color="red">&quot;*&#38;      Form  process_data</font>
    <font color="red">&quot;&#38;----</font>
    FORM PROCESS_DATA .
      DATA : L_TOTAL_TMP(15). <font color="red">&quot; LIKE BSID-DMBTR. </font>
      CLEAR :  L_TOTAL,LPD_TOTALS.
    <font color="red">&quot;* As per Customer accumulate the amount.</font>
    <font color="red">&quot;* For overdue items.</font>
      CLEAR : L_TOTAL_TMP.
      LOOP AT L_OPENDUE_LT.
      CONDENSE L_OPENDUE_LT-DMBTR NO-GAPS.
      L_TOTAL_TMP = L_TOTAL_TMP + L_OPENDUE_LT-DMBTR.
        AT END OF KUNNR.
          LPD_TOTALS-KUNNR = L_OPENDUE_LT-KUNNR.
          LPD_TOTALS-LPD_TOTAL = L_TOTAL_TMP.
          APPEND LPD_TOTALS.
          CLEAR : L_TOTAL_TMP.
        ENDAT.
      ENDLOOP.
      CLEAR :  L_TOTAL,LOA_TOTALS.
    <font color="red">&quot;* As per Customer accumulate the amount.</font>
    <font color="red">&quot;* For Open Items.</font>
      CLEAR : L_TOTAL_TMP.
      LOOP AT L_OPENDUE_LE.
        CONDENSE L_OPENDUE_LE-DMBTR NO-GAPS.
        L_TOTAL_TMP = L_TOTAL_TMP + L_OPENDUE_LE-DMBTR.
        AT END OF KUNNR.
          LOA_TOTALS-KUNNR = L_OPENDUE_LE-KUNNR.
          LOA_TOTALS-LOA_TOTAL = L_TOTAL_TMP.
          APPEND LOA_TOTALS.
          CLEAR : L_TOTAL_TMP.
        ENDAT.
      ENDLOOP.
    <font color="red">&quot;* Get ageing data based slabs, and duedate.</font>
      PERFORM AGEING_DATA.
      LOOP AT L_BSID.
    <font color="red">&quot;* Move the data to final internal table.</font>
        MOVE L_BSID-KUNNR TO FINAL_DATA-KUNNR.
        MOVE L_LANDX TO FINAL_DATA-LANDX.
        MOVE L_PSTLZ TO FINAL_DATA-PSTLZ.
        MOVE L_NAME TO FINAL_DATA-NAME1.
        MOVE L_PHONE TO FINAL_DATA-PHONE.
        MOVE L_SORTL TO FINAL_DATA-SORTL.
        MOVE L_BSID-ZTERM TO FINAL_DATA-ZTERM.  
        MOVE L_BUSAB TO FINAL_DATA-BUSAB.        
        READ TABLE LPD_TOTALS WITH KEY KUNNR = L_BSID-KUNNR.
        IF SY-SUBRC EQ 0.
          MOVE LPD_TOTALS-LPD_TOTAL TO FINAL_DATA-LPD_TOTAL.
        ENDIF.
        READ TABLE LOA_TOTALS WITH KEY KUNNR = L_BSID-KUNNR.
        IF SY-SUBRC EQ 0.
          MOVE LOA_TOTALS-LOA_TOTAL TO FINAL_DATA-LOA_TOTAL.
        ENDIF.
        READ TABLE AGE_DATA WITH KEY KUNNR = L_BSID-KUNNR.
        IF SY-SUBRC EQ 0.
          MOVE AGE_DATA-CURAMT TO FINAL_DATA-CURAMT.
          MOVE AGE_DATA-AMT1 TO FINAL_DATA-AMT1.
          MOVE AGE_DATA-AMT2 TO FINAL_DATA-AMT2.
          MOVE AGE_DATA-AMT3 TO FINAL_DATA-AMT3.
          MOVE AGE_DATA-AMT4 TO FINAL_DATA-AMT4.
          MOVE AGE_DATA-AMT5 TO FINAL_DATA-AMT5.
          MOVE AGE_DATA-AMT6 TO FINAL_DATA-AMT6.
        ENDIF.
        ENDIF.
        APPEND FINAL_DATA.
        CLEAR: FINAL_DATA.
      ENDLOOP.
    ENDFORM.                    <font color="red">&quot; process_data</font>
    </code></pre>

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