Customer payment guarantee procedure
Hi,
How can I assign the amount of the "Customer payment guarantee procedure", because I set the type of the payment guarantee of the master data (XD02) but I cannot find the way to assign the amount.
Should I create a FI document? How can FI/SD document be related?
Thanks,
Cecilia
hi
in XD02 you cannot find the payment amount to enter but you can find an payment gurantee procedure how and where and when the customer will pay your money for the goods.
sorry for sending:
http://help.sap.com/saphelp_47x200/helpdata/en/93/744a0a546011d1a7020000e829fd11/frameset.htm
balajia
Similar Messages
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Payment guarantee procedure key in customer master
Hi ,
System determines payment guarantee procedure by
1. key for doc guarantee proc from sales doc type
2. customer payment guarantee procedure key in customer master
However , I am not able to find the field in XD02 for maintaining cust payment guarantee procedure.
Can some one help me in locating that field . Can this customer master screen be controlled through field screen.
Regards,
MrinalMrinal,
in Customer master , we can see the field in Sales area data billing tab.
But if u are nt able to see in that then i guess that fields are suppresed.
For seeing that do this
go to transaction OVT0
select your account group then On Field Status group, double click on the word Sales data then on the word Billing.
In this go to Hedging and credit contr. area which may be suppressed, it means that the field above is not visible in the customer master data. Make this fields visible.
Thanks,
Raja -
Payment Guarantee Procedure not appearing automatically in the sales order
Hi All,
I have configured the risk management following all the steps as below but somehow the payment guarantee procedure does not auto appear in my sales order.
Step 1: Financial Document Type
Step 2: Field Controls in Fin Doc Type
Step 3: Financial Document Control
Step 4: Maintain Forms of Payment Guarantee
Step 5: Define & Assign Payment Guarantee Procedure
Step 6: Customer Payment Guarantee Procedure
Step 7: Assign Doc Procedures to Order Types
Step 8: Payment Guar.Procedure Determination
Kindly advise if I have missed out any stepsHi,
please check
1 . Define Payment Guarantee Schema Determination
2 . Activation of credit for item category
With regards,
Mrinal -
hi
When i created a SO, Payment Guarantee Procedure's value in Billing Document tab was '000001'(Letters of credit) automatically, and there is one error log when clicking on the 'Finance Doc. List' button.
Now, anyone can tell me why the error log will be presented?hope some one can help me, thanks a lotDear Quanyin
Can you please let us know what the error message is ??
For information, in VX11N, an L/C is created and saved and its reference number is assigned in your sale order. If you try to deviate from the conditions what you maintained in VX11N, then system will not allow you to generate billing.
You can recheck in VK12N.
thanks
G. Lakshmipathi -
Why Payment Guarantee procedure is not appearing in change mode
Hi All,
I am displaying the customer master. The payment guar field is appearing in customer master. But when I go to change mode for the customer master, the payment guar field disappears.
Can somebody throw some light on this.
Note: Pls donot send the configuration details. I have already done the configuration and double checked on the same.
Kind Regards
ChakradharHi Utpal,
Hmm.. this is rather strange. Are you sure it is not entering the SP? Can you try to cancel all operations by changing your SP (make a backup first) to:
-- Return values
declare @error int -- Result (0 for no error)
declare @error_message nvarchar (200) -- Error string to be displayed
select @error = 9999
select @error_message = N'My test error'
-- ADD YOUR CODE HERE
-- Select the return values
select @error, @error_message
Then try to update your document. It should stop you if it is entering. If not then I'd recommend going to SAP support.
Also, if possible, post the code you are using in your SP.
Best regards,
Pedro Magueija -
Sales order block for MRP run when the Customer payment terms is in Advance
My client needs to block some sales order for MRP which customer payment term is advance. But it should be based on the customer payments terms (In case of Advance). After getting his advance amount, we would be release it and it also be consider for MRP.
Option 1.Status profile this concept is will controlled by sales document controls VOV8 not by customer's payment term Advance
Option 2: In CMR sales area Billing Document tab by using payment guarantee procedure and in VOV8 in billing tab Payment guaramtee procedure by using this setting , i am getting a pop up message" No Finanical document assigned" in sales order when u try to save. Now sales order is blocked for delivery but not MRP run.
i am to ask the abaper to develop "here in the information box we will maintained required text say example u201C customeru2019s Payment term is in advance please check the reason for rejection number u201Csay ex: 13u201D: advance " after this is happen go to change mode of sales order put reason for rejecation" now MRP run will not generate the requirement for the sales order.
for Undo these this flow :
Va02 : remove the reason for rejection keep it in Blank
VKM3 : release the sales order.
Options 3: Development
Kindly suggest me the second options is only alternative for solving this issue but really i m not used specific feilds to solving this issue.Cleint is not using the field in CMR Payment granatee , i gone for user-exit and closed this issue
-
Hi,
I would like to know what will be the Impact by changing the value in Payment guarantee procedure in Item--> Billing document -->
Risk management Tab. and also which modules get affected ?
Thanks,
KP.Hi,
This can be used in EXPORT scenario where the customer make payments through LETTER OF CREDIT or by PAYMENT CARD.
if you change values in payment guarantee procedure then payment guarantee form will change depending on configuration set up but generally
000001 - Letters of credit then form of payment is CONFIRMED or Unconfirmed Irrevocable LC
and you have to create financial document that is LC by t-code VX11N and same you have to assign to sales order.
This make impacts on FI module as LC payment is processed through BILL OF EXCHANGE in FI
Where as of use 000002 - Payment card then form of payment is obviously payment card that is debit card,credit card,special procurement cards,amex,visa,american express etc.depend on your configuration
This do not need any financial document but need to maintain card type and card number and payment related data in PAYMENT CARD tab at header of sales order.
This again impact on FI as payment card payments are considered special transactions in FI.
kapil -
How to configure payment cards procedure
hi,
can someone through some light how to go about it .
Regards
AnilHi Friend,
Set Up for Credit Card Payment Processing
Given below is the set up for credit card payment processing:
01. Set Up Credit Control Areas:
02. Define Credit Control Area
Transaction: OB45
Tables: T014
Action: Define a credit control area and its associated currency. The Update Group should be 00012. This entry is required so the sales order will calculate the value to authorize
03. Assign Company Code to Credit Control Area
Transaction: OB38
Tables: T001
Action: Assign a default credit control area for each company code
04. Define Permitted Credit Control Area for a Company
Code
Transaction:
Tables: T001CM
Action: For each company code enter every credit control area that can be used
05. Identify Credit Price
Transaction: V/08
Tables: T683S
Action: Towards the end of the pricing procedure, after all pricing and tax determination, create a subtotal line to store the value of the price plus any sales tax. Make the following entries:
Sub to: A
Reqt: 2
AltCTy: 4
06. Automatic Credit Checking
Transaction: OVA8
Tables: T691F
Action: Select each combination of credit control areas, risk categories and document types for which credit checking should be bypassed. You need to mark the field no Credit Check with the valid number for sales documents.
07. Set Up Payment Guarantees
08. Define Forms of Payment Guarantee
Transaction: OVFD
Tables: T691K
Action: R/3 is delivered with form 02 defined for payment cards. Other than the descriptor, the only other entry should be 3 in the column labeled PymtGuaCat
09. Define Payment Guarantee Procedure
Transaction:
Tables: T691M/T691O
Action: Define a procedure and a description.
Forms of Payment Guarantee and make the following entries Sequential Number 1
Payment Guarantee Form 02
Routine Number 0 Routine Number can be used to validate payment card presence.
10. Define Customer Payment Guarantee Flag
Transaction:
Tables: T691P
Action: Define a flag to be stored in table.
Create Customer Payment Guarantee = Payment Card Payment Cards (All Customers can use Payment Cards).
11. Define Sales Document Payment Guarantee Flag
Transaction:
Tables: T691R
Action: Define the flag that will be associated with sales document types that are relevant for payment cards
12. Assign Sales Document Payment Guarantee Flag
Transaction:
Tables: TVAK
Action: Assign the document flag type the sales documents types that are relevant for payment cards.
13. Determine Payment Guarantee Procedure
Transaction: OVFJ
Tables: T691U
Action: Combine the Customer flag and the sales document flag to derive the payment guarantee procedure
14. Payment Card Configuration
15. Define Card Types
Transaction:
Tables: TVCIN
Action: Create the different card types plus the routine that validates the card for length and prefix (etc )
Visa , Mastercard, American Express, and Discover
Create the following entries for each payment card
AMEX American Express ZCCARD_CHECK_AMEX Month
DC Discover Card ZCCARD_CHECK_DC Month*****
MC Mastercard ZCCARD_CHECK_MC Month
VISA Visa ZCCARD_CHECK_VISA Month
The Routines can be created based on the original routines delivered by SAP.
links:
http://help.sap.com/saphelp_erp2005vp/helpdata/en/a6/b1853478616434e10000009b38f83b/frameset.htm
http://help.sap.com/printdocu/core/Print46c/en/data/pdf/SDBILIVPC/SDBILIVPC.pdf -
Hello
In Sales Order Header.... Billing Tab there is a Payment Grantee Procedure and Financial Document Number. What is the use of these fields in Foreign Trade Data. How are these fields determined in Sales order and what is the impact of these fields on the subsequent Document.
Thanks and Regards
Prashant RanalkarHi Prasant,
Below is help link for Payment Guarantee process....
[Payment Guarantee procedure|http://help.sap.com/saphelp_45b/helpdata/en/2a/30b749b1d511d194f300a0c9306794/frameset.htm]
Financial Document number is Internal number of a financial document. The number is assigned by the System itself.....
The Use of Payment Guarantee process comes under Risk management.....
For example if u are sending some product to Foreign country......So for taking payment there is variouos methiods and Risks associated......i.e Whether the customer give the money or nt? etc.... For this Payment Guarantee form is used..... Now a days we also use Letter of Credit.....
Thanks,
Raja -
I have to supress one field named PAYMENT GURANTEE PROCEDURE
hi,
i am trying to supress the field called payment gurantee procedure in CMR through OBD2.
but
unfortunately i am not able to find the field in customer master data in OBD2 in the relevant accoutn group.
help me on this..
regards,
balajitHi,
Go to OBD2 tcode and then double click on the Sales Data that is present under the Field Status Section.
Now, under the select Grouop section double click the Billing option.
Then you see the field "Hedging and credit contr. area", in that select the option Supress.
Note to ensure double click the field "Hedging and credit contr. area", you will find the Payment Guarantee Procedure field.
Regards -
F-28 Transaction , Customer Payment posting
Hi,
I am getting the errror message below when trying to post the customer payment with transaction code F-28. We have New GL implemented at our client.
I have checked and found that field status of the "Profit Center" field is optional in case of posting key and field status group.
Please let me know the way to rectify this error in the line item of customer.
===============================
Balancing field "Profit Center" in line item 003 not filled
Message no. GLT2201
Diagnosis
The field Profit Center marked as balancing is not filled with any value in line item 003, even after document splitting.
System Response
The document cannot be posted.
Procedure
First check your entries.
Additional causes could be:
No value can be derived for this field from the current document data.
You have entered a document type that is not designed for this business purpose.
Procedure for System Administration
Customizing
==========================================
Regards,
ViswanathHi,
I have already maintained this setting and also maintained the default profit center for the bank accounts. But the error message is thrown at the 03 line item which pertains to the customer line item.
Please suggest the needful to be done for this case.
Also let me know if there is any option to make postings to different profit centers for different line items to the same customer.
Regards,
Viswanath -
S_ALR_87012177 - Customer Payment History
Hi,
For a particular cusotmer, the payments are recieved in company code currency (CHF - Swiss Franc) and some custmer payments are done in USD, when i am executing the transaction code S_ALR_87012177, the report is shwoing only the transactions of customer payments in company code currency. I created a variant and layout for this report, but i didn't find any such currency field where we can give the currency as USD, so system can generate a report for customer payments in foreign currency (USD).
Please help me whether there is any procedure to see the customer payment report in foreign currency USD under this transaction code.
Regards.,
Pankaj.Hi Pankaj,
We canu2019t see document currency in this report; better u can see document currency in T. Code u2013 FBL5N.
Thanks -
Scenario:vendor also a customer (payment has to knock off)
Dear Experts
Scenario:vendor also a customer (payment has to knock off)
Vendor invoice $6000
customer invoice$6000
when i am running APP run manually, on editing the payment proposal and assigning house bank and payment method the document is posting.
its updating in REGUH table.
If i run the APP run without edit proposal ,only payment is done for vendor ,customer is showing as a open item.(document is not knock off).
Its showing the error message in display log
Job started
Step 001 started (program SAPF110S, variant &0000000003167, user ID Log for proposal run for payment on 07.04.2011, identification RUN2
Due items with currency INR, pmnt method - items total is > 0
...none of the payment methods defined can be used for these items
Information re. vendor 21 / customer 2600018 / paying company code 9150 ...
... payment not possible because of reported error
Information re. vendor 21 / customer 2600018 / paying company code 9150 ...
Payment with currency INR, payment method P: No valid payment procedure
Information re. vendor 21 / customer 2600018 / paying company code 9150 ...
... payment not possible because of reported error
End of log
Job finished
I have maintained below parameters in vendors and customer master:
1)In control tab i have maintained customer and vendor no.
2)in payment transaction tab i have maintained payment method, house bank ,selected the check box clrg with customer and vendorPlease check that same payment method is assigned to both customer and vendor
Please also check out the OSS note:-
[https://websmp130.sap-ag.de/sap(bD1lbiZjPTAwMQ==)/bc/bsp/spn/sapnotes/index2.htm?numm=305414]
Regards
Gaurav -
Payment Gauranteed Procedure Field
Dear Gurus,
In my customer master payment gaurantee procedure field is not appearing, but when i am in display mode its appeared.
what is the possible cause.
2ndly status in the financial document is freeze I am not in a position to change them only "the document is created" status is updated".
Pls advise.Issue resolved.
We can assign this through SPRO setting.
That also fulfill the same purpose too.
Regards, -
Documentary Payment Guarantee Data Source (AKKP table)
Hi sap gurus, I couldn't find a data source based on AKKP table. I need Documentary Payment Guarantee information. I can create documants with vx11n. this transaction creates data at AKKP table for a specific customer. is there any specific data source based on AKKP table?
There is no standard content for this table. Therefore, you're going to have to create a generic DataSource for this table.
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