Customer payment  against invoices

Dear friends .
Please suggest me that is there any report in FI for customer payment against invoices
Customer No     Name     Company Code     Fiscal Year     Invoice No     Invoce Posting Date     Invoice Amount     DZDoc No         DZ Amount     DZDoc Posting Date     Planned Cash Discount Amount     Actual Cash Discount Amount     Short Payment     Assignment     Sales Office     Profit Centre     Clearing Document     Clearing Date     Base Line Date     Net Due Date     Days     Interest Rate     Interest Amount     Terms Of Payment
I will be highly thank full to you all.
Please help me .
yours
vivek

sir , thanks for your valuabel suggestion but problem is there are so
amy fileds that are based on Amount     DZ Amount  CD Amount
and rest are missing .
Please suggest some FI based report for the same.
yours
vivek

Similar Messages

  • Partial Payments Against Invoice

    Hi
    I had AR Invoice with 100000 Inr amount, But I got Payment 50000 ,25,000,25000 in diffrent dates. If i made In coming payment first time . Ok that invoice displaying in incoming payments , Second time no Invoice displaying In incoming payment so Now how can i clear amount aginst that invoice
    Regard
    Srinivas

    Hi
    In the Incoming Payments Screen, after selecting a customer all his open invoices will be displayed.
    Say for example you have 3 invoices,
    InvoiceNo  Balance
    23             100000
    45              20000
    50              15000
    Now your customer pays 50000 against invoice 23,
    You can select that row in the Payment Screen and in the field 'Total Payment' you can type 50000 and goto Payment means and type 50000.
    Now the invoice 23 will be still open. If you open the invoice, the 'Paid/Credited' will show '50000' and 'Balance Due' will show 50000 in the invoice document.
    Now when you open Incoming Payments Screen again, the Invoice 23 will be shown with Balance of '50000'
    You can repeat the above steps for Payment of 25000, 25000

  • Automaically load data in payment against invoices in payable

    Dear Experts
    My scenario is following
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    hundred invoices then I have to issue 200 checks against these invoices, Its means that
    I have to put manual entry two hundred times for two hundred checks issues, I like to avoid to put two hundred time manualy in payments
    and want to upload data automatically for two hundred checks in payments form against two hundred invoices.
    Is there any API or open API?
    Thanks

    Hi Sharma,
    suppose I have 100 invoices, they had same same supplier type with same pay order with invoice number 1..100 in
    order but supplier names are different , and want to issue 100 check for each invoice, I want to issue checks
    of the same bank and branch, so I want to upload these data of 100 invoices automaticaly in payment form, Just
    need to know any oracle built in procedure,concurrent program or api etc, If this can not help then
    I like to writhe procedure to insert data into payments form, but I need to know the correct tables to insert payments
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    I shall be very thankful of your kind help.
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    pattern supplier type and are in order.
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  • Accounts Payable - Tracking of Advances & Partial payment against Invoice

    I want to co-relate the advance payment and various partial payments made to one vendor with the specific Invoice. Can you please suggest the wayout?
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    Hi Kapil,
    My suggestion would be -
    Use the reference field to update the Invoice number in all the documents - Down payment, Invoice posting and the partial payments.
    The reference field is editable even after the document is posted. So, you can update the down payment document also once you recieve the invoice.
    Now, from FBL1N, you can sort/filter by the reference field and find out the balance to be paid for a particular invoice.
    Regards,
    Mike

  • Electronic bank statement customer payment and invoice(s) clearing

    Hi there,
    I am configuring electronic bank statements and wanting to "increase the hit rate" of automatic clearing. For this, I have configured postings, posting rules, etc. and I am testing on a bank statement we receive from the bank (this is ABN Amro in Germany) and all works fine. I see it with FEBA and the line items are posted to GL ok. I then configured the define search string for electronic statements to search in the note to payee our invoice numbers, which also are our document numbers, that the customers pay. I linked the search string use to algo 20 Document number search. I also changed the external transaction type assignment so that the appropriate posting rule refers to algo 20 too. When I use the simulation prog FEBSTS, it shows me all the documents found in the note to payee of all the items, and displays the document numbers found that match the note to payee for the few cases I have set-up for testing. All this look to me very good.
    My question is as follows. Despite the above, when I get to FEBA to post/clear the posting area 2 of the matching cases, SAP links to FB05 and asks me to select line items first of all, expecting that I enter either the customer id, or the document numbers. I don't understand this, and I don't understand why it does not get automatically to the matched documents and clear them automatically. I very probably am missing something, but I don't know what and I am somwhat stuck.
    I would very much appreciate some hints as to what to do to make this work.
    I thank you in advance.
    Jean
    PS. We are running SAPKH47025
    Message was edited by:
            Jean Weyrich

    Thks Ramesh for the hint but this did not change, although I changed this table so that it looks for BELNR only for all account type D.
    When I hit save on the FEBA_bank statement line item to clear (in Posting Area 2)SAP brings me to the FB05 screen asking for either customer id or document no (invoice). If I feed this then it would clear the invoices I have prepared. What I would like is that SAP finds out these invoices by itself using the search I have configured which seems to work ok from the simulation transaction FEBSTS. Well when I say it works ok, this is because I see the invoice numbers that have been mapped, have been found. I also see in the Cat column the field BELNR, I see however that the column Partner remains empty (should that be filled with the customer number ?), and lastly I see that the last column Partner Type is a D for customer which looks OK.
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  • Open dispute for paypal payment against invoice for goods

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    File for non reciept of item via the "resolve a problem link" lower left of your paypal summary page > put in what has happened and escalate to a claim. DO NOT close the claim unless you have the item or a cleared refund.     ************************************** I give up my time to help you so a thank you or kudos would be cool.
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  • Customer payment report against sales invoice

    Dear Experts.
    My client has requirement to track customer payment against sales invoice. Actually client sometimes do partial payment also. I know we can get from bsid(open item) & bsad(cleared item) table. I unable to find actual required data.
    regards
    sanjay verma

    Dear Sanjay,
    Apart form the FBL5N,  Please check the below path for more standard reports which helps you to fulfill your requirement.  Hope its helpful.
    In SAP Easy Access screen
    Regards,
    Inthiyaz

  • WH Tax - Down payment clearing against invoice

    Dear Experts,
    This is regarding the down payment clearing against invoice where WH tax is involved in Down payment as well as in Vendor Invoice. we also deduct Work Contract Tax Z1 on vendor invoice.
    the process is as follows :
    Step 1 - Down payment to Vendor through TC # F-48
    Entry : Vendor A/c Dr 2200.00
    To Bank 2178
    To TDS 22.00 @ 1%
    Step 2 - Vendor Invoice Booking through TC # FB60
    Entry : Expenses Dr 4400.00
    To Vendor 4180
    To TDS 44.00 @ 1%
    To WCT 176.00 @ 1%
    Clearing down payment against the invoice posted using FB60.
    Step 3 - Down payment Clearing through TC # F-54
    Entry : Vendor Dr 1980.00
    To Vendor 2200.00
    To TDS 44.00
    To WCT 176
    But in this process, it clearing WCT tax code also which i dont want in this. And if i adjust amount and do not clear whole amount available amount then after simulating it showing difference coming and debit and credit amount of line items.
    But if i dont include WCT tax code in whole process then its working fine no problem coming in it, but want it also to include in clearing process of down payment against invoice.
    Best Regards
    Arun Rai

    Dear,
    i am following the SAP standard process for deducting TDS on down payment and invoices.
    First i deduct the TDS on down payment and Then again full TDS amount on invoice not adjusted it in WHT tab in base amount after adjusting Advance payment.
    in next process f-54 i cleared the advance payment against invoice so it reverse the invoice TDS amount to adjust the tds as per advance payment TDS.
    In img i confiured the WHT for payment posting as by selecting "Central inv. prop." option in Central invoice option.
    Regards
    Arun Rai

  • How to adjust advance in part/full against invoice for payment to vendor

    Dear Experts,
    I need all your expertise view on a scenario.
    what i am trying to do is like i have given advance to vendor 10000 and deduct 100 tds on it.
    now vendor send the invoice amount 30000 and we deduct tds by doing adjustment in invoice manually against advance amount and deducted tds 200 on invoice.
    now vendor ask us to adjust the advance amount 3000 from 10000 advance amount against invoice and then do the payment for it. and we like to pay only 21000 against remaining amount after adjusting advance using partial payment method.
    So please tell me the steps in detail with accounting entry to post this in sap.
    Regards
    Arun Rai

    Hi,
    You can clear down payment against invoice via F-54. Simply enter the data by entering the invoice number.
    Regards,
    Jigar

  • To get PO number against invoices at header level only

    hi
    I have this query to retireve payments against invoices
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           aca.check_date paymentdate, aida.period_name, aida.creation_date
      FROM ap_invoices_all ai,
           ap_vendors_v avv,
           ap_invoice_payments_all aipa,
           ap_checks_all aca,
           ap_invoice_distributions_all aida,
           po_distributions_all pda,
           po_headers_all pha,
             HR_ORGANIZATION_UNITS_V hrov
    WHERE ai.vendor_id = avv.vendor_id
       AND aca.vendor_id = ai.vendor_id
       AND aipa.check_id = aca.check_id
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       AND ai.invoice_id = aida.invoice_id
       ANd pda.po_distribution_id=aida.po_distribution_id(+)
       AND pda.po_header_id = pha.po_header_id(+)
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        and aca.STATUS_LOOKUP_CODE !='VOIDED'
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    order by to_char(ai.gl_date,'MM')
    18 records are shown
    for aca.doc_sequence_value='212244 no rows returned
    i found the reason as to this 212244 has no PO number
    so i had to rewrite the query using ANSI JOINS
    SELECT ai.gl_date, aca.amount paymentamount, aca.bank_account_name,aca.check_number,aca.DOC_SEQUENCE_VALUE voucher_num,
           aca.payment_method_lookup_code, aca.vendor_name suppliername,ai.base_amount functional_amount,   pha.segment1 po_num,
           aca.check_date paymentdate, aida.period_name, aida.creation_date
      FROM ap_invoices_all ai
         join  ap_vendors_v avv on(ai.vendor_id = avv.vendor_id)
          join ap_invoice_payments_all aipa on (aipa.invoice_id = ai.invoice_id)
          join ap_checks_all aca on (  aipa.check_id = aca.check_id  and aipa.invoice_id = ai.invoice_id)
           join ap_invoice_distributions_all aida on (  ai.invoice_id = aida.invoice_id)
        left join  po_distributions_all pda on (pda.po_distribution_id=aida.po_distribution_id)
          left join po_headers_all pha on(  pda.po_header_id = pha.po_header_id)
            left join HR_ORGANIZATION_UNITS_V hrov on  (pda.destination_organization_id=hrov.organization_id)
        where aca.STATUS_LOOKUP_CODE !='VOIDED'
         and  aca.DOC_SEQUENCE_VALUE='212366'
    order by to_char(ai.gl_date,'MM')
    now i get the correct data for 212244 
    but when i run the same query for 212366 i get 19 records  as one invoice in this 076998 has 3 line items and one line item dont have PO
    BUT the requirement is to get  only PO information at the header level not line levelkindly guide
    thanking in advance

    When you need only PO numbers, link only the 3 tables to make your query simpler.
    ap_invoice_distributions_all aida,
    po_distributions_all pda,
    po_headers_all poh
    Only po based invoices will be selected for these tables

  • AUC Down payment : Open invoice at year end

    Hi All
    For LATAM countries I need to complete the Down payment to AUC
    At present the configuration is working fine for the following
    Create Order type Z60 (KO01).Create distribution rule for the order.
    Create AUC (AS01) and assign order number (AS01) .Create receiving asset.
    Create purchase order for the asset and assign asset number created above to the PO (ME21N)
    Create Down payment request  (F-47) with the PO assignment
    Create Down payment F-48 with reference to the Down payment request sent earlier
    Create Goods Receipt (MIGO)
    Create Invoice Receipt (MIRO)
    Clear down payment against invoice.(F-54)
    ACC entry generated
    1
    Say 100 was paid as DP against the PO
    50 Bank Cr  100
    29M Vendor dpecial GL Dr 100
    70 AUC DP A/C Asset Dr 100
    50 AUC Clearing A/c Cr 100
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    Asset acquisiton invoice posting (ME21N)
    70 AUC Asset Dr 2000
    31 Vendor Cr 2000
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    39A Vendor Special GL Cr 100
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    75 AUC down payment Cr 100
    40 AUC clearing GL Dr 100
    Now I need to test the scenario wherein the invoice is not recd at period end SAP proposes the creation of a reserves for expected invoice and reversal when the invoice is recd .I have already enabled the transaction types necessary for dp at period end but require assistance on what should be the next steps to test this
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    Regards

    Hi
    has anyone encountered a similar situation ?

  • How to get all the invoices that were cleared by a customer payment

    Dears,
    I am having trouble using tables bsad and bsid to list all the invoices paid by a customer payment.
    Imagine I have a DZ document which pays partially or completelly, several customer invoices (RV documents).
    My requirement is to build a report able of showing all the invoices paid in an acounting document, regardless they are paid partially or competelly.
    More than that, the payment of an invoice, can have several iterations.
    For example:
    Invoice RV 10000000 - amount 100.000u20AC
    On first payment, I pay 25.000u20AC -> accounting document DZ 21000001
    Second payment, I pay 25.000u20AC-> accounting document DZ 21000002
    Third payment, I pay 50.000u20AC -> accounting document DZ 21000003
    Something like the following is expected for document 21000001:
    Invoice 10000000
    Original amount 100.000 u20AC
    Open amount 100.000u20AC
    Paid amount 25.000u20AC
    Something like the following is expected for document 21000002:
    Invoice 10000000
    Original amount 100.000 u20AC
    Open amount 75.000u20AC
    Paid amount 25.000u20AC
    Something like the following is expected for document 21000003:
    Invoice 10000000
    Original amount 100.000 u20AC
    Open amount 50.000u20AC
    Paid amount 50.000u20AC
    I noticed that table BSE_CLR has a the clearing information but I am not able to create the iterations needed.
    Another thing I noticed is that, when I make Payment Usage on FB03 for a payment that was not not completelly cleared on that document, I cannot see the full payment usage. I have to go through FBL5N with the customer account number and find out the full payment information.
    Has anyone built a similar logic and can share it with me?
    Any standard function modules? Any standard transactions that show the full payment information?
    Thank you very much,
    Kind Regards,
    João Cabrita
    Edited by: João Pedro Cabrita on Aug 1, 2011 5:59 PM

    Hi:
                Clearing document (AUGBL) generated against invoice with document type AB will be an option to use for reporting purpose. No matter invoice is partially cleared or fully exhausted system generates a clearing document against it. It stores the payment usage. System should check in BSID table with reference to AUGBL if there is anything left against invoice that is to be paid or if it is fully exhausted it will be present it BSAD along with it payment usage data. I hope this will help you in developing your report.
    Regards

  • DTW for PO's and Customer payments applied to oldest invoices.

    Hi everyone in this forum, I'm so glad that there is a community like this one so we can request to expert and not so expert SAP users.
    This thread is made with the intention of request help in the following matter: The company I started recently to work with, wants to upload all Purchase Orders via Excel (with information sent by our suppliers) as well as apply customer payments with information of our bank accounts.
    And I have read a lot about the DTW (Data Transfer Workbench) and I know that it works for importing information; I know for PO's is possible but not sure about application of payments received.
    Does someone out there knows if it's possible to use this functionality DTW for this.
    And also guide me in how to fill up the templates, for example how will the records will be match, through the DocEntry field?
    What happens if i enter the header manually in SAP, assigning a Document number and providing it to our supplier so we can import only the lines. In the Lines template where can I enter this number so the lines are created automatically without importing the header.
    Thanks in advance for your help,

    Hi Israel,
    This is possible, but you would need to run the uploads in several steps.
    Once you have uploaded the Purchase Orders, you would need to convert these to AP Invoices for making payments against (Purchase Orders are non financial documents).
    You will need the docentry field from the PO to be created in order to link the invoices to the PO. Then, once you have the doc entry of the AP Invoices you can create vendor payments & link them to the invoices, and a method of payment.
    It may be easier to use the SAP function "Payment Wizard" to generate payments based on invoices rather than DTW

  • How to do Payment against Proforma invoice with excise duty?

    Hi all
    I am using SAP B1 9.0
    I have a scenario like, I want to make a proforma invoice partially/fully for the customer order(sales order) with excise duty and I will receive payment against this invoice.
    I tried to use AR down payment request , thus I can create proforma invoice for partially/fully and I can do incoming payment also, but the problem is I can't use Excise duty(CENVAT) in down payment document. Is there a way or work around for my issue?
    Thanks in advance.
    Pravin

    Hi,
    In standard SAP B1, we can't select Excise tax code in Down payment request document and it will not allow also
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    3. Adjust Down payment request in final AR Invoice it will get adjusted in total value.
    Note: The Excise duties will book at the time of OEI booking (as per legal req). We can't book the excise at the time of Down payment. 
    Regards,
    Kiran 

  • How to create Payment against the invoices in R12 using API/Interface table

    Hi Experts,
    I need your help.
    As per my requirement , we need to create the payments against the invoices using the payment information provided.
    Earlier the Payments against the invoice is done by (3rd party system) in 11i.
    But, as a part of R12 implementation,
    The requirement is like now they are going to provide us and flat file(having below payment information) and we need to create the payment with these information.
    COLUMNS PROVIDED
    SOURCE
    INVOICE INTERNAL NUMBER #
    ACCOUNTING SEGMENTS
    DEBIT/CREDIT
    AMOUNT
    CURRENCY
    BANK ACCOUNT
    PAYMENT DATE
    DUE DATE
    PAYMENT METHOD
    PAYMENT TERMS
    BATCH ID
    We need to create an inbound interface to achieve the below requirement.
    1. Create the payments in oracle R12 with the above payment information. (unable to find the way please suggest).
    2. Creating the Journal entries. -> We are having GL_INTERFACE & Journal Import program to import the journals.
    3. Finally we have to posting the same into GL.-- Interface & Import programs available.
    Is there any api or interface tables can be used to create the payment against the invoices in r12?
    Could you please help me to achive my above requirements.
    Any sample code or reference will be a great help for me.
    Waiting for your response.
    Thanks,
    Thiru.

    Hi Thiru,
    Perhaps these links can help:
    http://ccchuanblog.blogspot.in/2010/12/oracle-ap-payment-api.html
    http://oracle.ittoolbox.com/groups/technical-functional/oracle-apps-l/ap-invoice-payment-need-help-4037407
    See "Understanding Oracle Payments APIs" here:
    http://docs.oracle.com/cd/B40089_10/current/acrobat/120ibyig.pdf
    If this answers your question, please mark the post. Thanks.
    Kristofer Cruz
    Edited by: Kristofer Cruz on Sep 5, 2012 2:41 PM

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