Customer Receivable Statement

Hi Friends:
I am facing problems in customer receivable statement for a client of mine.
We are currently using the Aging by sales documents to produce our
customer statements as it produces the correct aging of customer
details.
But i feel that  the following functionalities or criteria are not available in producing the statements (which is available in most of the small end packages like tally, sage pastel etc)
1.Payments entered in the current period should be displayed on the
customer statement regardless of whether they have been allocated to
current or prior period documents.
2. All credit notes entered in the current period should be displayed
on the customer statement.
3. All invoices which have a credit note applied against the entire
invoice amount should be displayed alongside the credit note.
4. We would like to see only the current period's transactions with the
opening balance consisting of the balances for the previous periods.
5. Payments made in the current period related to previous periods must
appear in the statement, the opening balance should be offset and the
correct aging should be displayed.
Kindly let me know whether there is a solution to this  any help is highly appreciated
thanks in advance
regards
Manian

Hi,
Although you use SBO 2005A SP 01 PL 32, the problem seems unresolved too but you could try.I do not know id other cluster could solve. The solution could be addon or workaround by developing query report or using crystal report.
Limitations that made your statement could not be solved, maybe caused by aging date and the collection of the documents that not fit to your business process.
Rgds,

Similar Messages

  • Customer Receivable Statement Problem

    I am facing problems in customer receivable statement for a client of mine.
    But i feel that the following functionalities or criteria are not available in producing the statements (which is available in most of the small end packages like tally, sage pastel etc)
    1.Payments entered in the current period should be displayed on the
    customer statement regardless of whether they have been allocated to
    current or prior period documents.
    2. All credit notes entered in the current period should be displayed
    on the customer statement.
    3. All invoices which have a credit note applied against the entire
    invoice amount should be displayed alongside the credit note.
    4. We would like to see only the current period's transactions with the
    opening balance consisting of the balances for the previous periods.
    5. Payments made in the current period related to previous periods must
    appear in the statement, the opening balance should be offset and the
    correct aging should be displayed.
    Kindly let me know whether there is a solution to this any help is highly appreciated
    thanks in advance
    Manian

    What field and from what table do you use for u201CDue Dateu201D?
    How about try this u201CBSID-ZFBDT + BSID-ZBDITu201D and see how it turns out.

  • Multi-Currency Customer Receivables Aging Query

    Hello Everyone,
    SAP B1 2005 SP 01 PL 42
    We cannot produce customer statements for multi-currency accounts (CND & USD) through the Customer Receivables Aging report.  The report converts all FC to LC which is not useful to the customer.
    The statement must show the open invoices in USD and open invoices in CND so that the customer can pay in the appropriate currency.
    We are attempting to create a query to solve this issue and assign a PLD to execute the calculations, but cannot see the best way to execute the task.
    The customer account balance (displaying only unreconciled tans.) would be the most reliable data set (form 809), but it is not available as a table in the query manager.  Any other table suggestions?
    We would like to avoid building the query from scratch (collecting all open invoices, credits, payments etc...) to avoid error.  We would also like to avoid exporting the data as this is very time consuming.  Any suggestions?
    Thanks in advance,
    Tamara

    We have found it better to set up two customers where different currencies are transacted - one in each currency. That way you can produce a statement in each currency.
    I know it's not a perfect solution, but a good work around?
    The only way to get the data you need would be to use OJDT and JDT1 tables, but you would need to join to the reconciliation table as well (OITR?) to get open transactions.

  • Customer receivables ageing report - Crystal Parameters

    I want to create a customer receivables ageing report (Customer statement report - one page per customer) using crystal reports 2008. See image below.
    I need to know which parameters must be created in Crystal to receive the neccesary information for creating this report. See circled fields in screenshot below.
    Can some please point me in the right direction for starting of this report in Crystal.

    Hi Vishal,
    SAP always recommends to go with the ageing report by journal postings in the old versions. What happens there is that there are 2 separate reconciliation engines at work, one at document level which supports partial reconciliation & one at journal entry level, which only supports full reconciliation. Please have a look at this YEC presentation:
    https://psd.sap-ag.de/PEC/calendar/html/recording.php?hck=ee2c7bfa07c3f6523f8846e14428985172efeb4545d14ed4757dfc29be3732557a8abf7a1e89fc7e357cd90b6c39b9123e5cf0f6c4b1ab283171b31ede9ba278
    One of the most significant changes in version 2007 & 8.8 is that these reconciliation engines are now unified in that partial reconciliation is also fully supported on journal entry level.
    You will find a lot of info on this landing page:
    English: http://service.sap.com/~sapidb/011000358700000380562007E
    I would highly recommend you upgrade to 2007, it is much, much more advanced than 2005.
    All the best,
    Kerstin

  • Customer Receivables Ageing Report

    Hi experts,
    Our SAP version is 2005B PL 43.
    The Customer receivable Ageing Report has two tabs- By Journal entries tab and By sales Documents tab.
    1. We find that all Payments, Credit notes and Invoices appear in the Customer Ageing Report By Journal Postings.
    This happens in case where an invoice has been partly paid alongwith few other invoices which have been fully paid which we are unable to knock off, limitation in this version of SAP.As a result the Incoming payment and The Invoices both are seen as open in the Ageing Report - By jounal Postings whereas the Ageing Report by Sales Documents shows the net values.
    There are cases where if an incoming payment is cancelled, the cancelled entry is not knocked off,again a limitation in this version,as a result the Ageing Report by Jounal postings shows both the wrong payment received as well as the cancelled entry.This does not appear in the Ageing Report by Sales documents.
    2. The customer Statement Report if printed from the Customer Receivable Ageing Report - By Jounal Postings displays the payment entries alongwith the Credit notes and Invoices, which is very difficult for the customer to understand.
    Instead can we use the Ageing Report by Sales Documents to print the Customer Statement Report?
    3. Lastly The Ageing Report by Journal Postings can match the Ageing Report by Sales documents only if partly paid invoices, advance payments and cancelled payments are knocked off.
    We are currently not planning to upgrade to 2007B as we are waiting for the 8.8 version which will be rolled out in end of Dec, as informed to us by the SAP regional office.
    Our question is which settings will give us the correct Ageing for a customer?
    Regards,

    Hi Vishal,
    SAP always recommends to go with the ageing report by journal postings in the old versions. What happens there is that there are 2 separate reconciliation engines at work, one at document level which supports partial reconciliation & one at journal entry level, which only supports full reconciliation. Please have a look at this YEC presentation:
    https://psd.sap-ag.de/PEC/calendar/html/recording.php?hck=ee2c7bfa07c3f6523f8846e14428985172efeb4545d14ed4757dfc29be3732557a8abf7a1e89fc7e357cd90b6c39b9123e5cf0f6c4b1ab283171b31ede9ba278
    One of the most significant changes in version 2007 & 8.8 is that these reconciliation engines are now unified in that partial reconciliation is also fully supported on journal entry level.
    You will find a lot of info on this landing page:
    English: http://service.sap.com/~sapidb/011000358700000380562007E
    I would highly recommend you upgrade to 2007, it is much, much more advanced than 2005.
    All the best,
    Kerstin

  • Difference in Customer account statement and collections

    Kindly clarify my doubts about customer account steatement and Collections. basically whats the difference in the two and what are the standard T_codes for these two.
    thanks
    anya

    HI ANYA
    T-code:  F.27
    Definition
    An account statement and open item list are two types of correspondence. They differ with respect to the information they contain and the way it is displayed. Unlike an open item list, an account statement displays all items in a specified period along with the balance carried forward. The open item list merely displays the open items for a certain key date.
    Type of correspondence that your company sends to its customers.
    The system includes a SAPscript form that you can use for customer account statements for the Philippines, form F140_CUS_STAT_P1. You can modify this template to meet your company's requirements. To do so, from the SAP Easy Access screen, choose Tools ® Form printout ® SAPscript ® Form.
    Structure
    The following information is displayed in the template for the customer account statement:
    Account balance at the start of the selected period
    Open item list as of the key date, including the total
    It is sorted by transactions with or without special G/L indicators, currency, posting date, and document number.
    Account balance at the end of the selected period
    Cleared item list between selected key dates
    It is sorted by currency, posting date, and cleared item document number.
    Withholding tax list between selected key dates
    It is sorted by withholding tax type, posting date, and document number.
    Aging in 0, 30, 60, 90, and 120 days
    Integration
    You can print the customer account statement.
    Note the following restrictions regarding customer statements:
    You cannot create statements for one-time customers.
    In the case of customer head offices with local branches, customer statements contain the address of the head office and not that of the branch.
    The account statement can be created for your customers or vendors is an extract from the customer account which enables him to check the items there or is merely for information purposes. The account statement displays the balance carried forward, all items in the chosen period and the closing balance of the account.
    The open items list is a special form of account statement. It is also sent to the customer for verification or information purposes. Occasionally, the list is also used as a reminder letter. The open items up to the chosen key date are displayed in this list.
    Both letters contain the document number or reference document number, the document date, the document type, the currency and the amount for every item as well as the balance of the open items at the key date. The account statement may also contain the clearing document number. If branches were included in the letter of a head office, their addresses are listed at the end of the letter.
    The layout of the letter is determined via a form. Depending on the form used, the letter may also contain, for example, the days in arrears per item at the key date or other information. The form must be defined and stored in the system.
    Printing Customer Account Statements
    Use
    Printing of customer account statements is based on correspondence type SAPP3. Correspondence type SAPP3 is preconfigured to run the RFKORDP3 print program, which is delivered with report variant SAP&SAPP3. You can modify SAP&SAPP3 to meet your company's needs. For example, you can change the aging period and the number of the aging column.
    To modify or define a new report variant for the RFKORDP3 print program, in Customizing for Financial Accounting, choose Financial Accounting Global Settings -- Correspondence -- Assign Programs for Correspondence Types. Select correspondence type SAPP3 and choose Environment -- Maintain variants.
    Procedure
    Printing Individual Account Statements:
    Request correspondence type SAPP3 . To do so, from the SAP Easy Access screen, choose Accounting -- Financial Accounting --Accounts Receivable --Account -- Correspondence --Request.
    Issue the correspondence request by choosing Accounting -- Financial Accounting -- Accounts Receivable -- Periodic processing -- Print correspondence -- As per request.
    Print the customer account statement from the spool file by choosing System -- Own spool requests. Select your spool request and choose print.
    COLLECTIONS
    Collection is the settlement of receivables due, in particular, bills of exchange.
    Collection Account
    Definition
    A G/L account that the system uses to record checks receivable that you have presented to banks for collection. It denotes that a check has been sent to a bank and is awaiting clearing
    Reward if useful to u
    narendran vajravelu

  • Customize AR Customer Balance Statement Letter using ARXSGPO

    Hi All,
    I need to customize the data template of 'AR Customer Balance Statement Letter' to meet some of our requirement. The data template file name is 'ARXSGPO.xml'. But the Update button in the data definition of 'AR Customer Balance Statement Letter' is disabled.
    Please let me know how can I update the data template for this definition with modified XML file.
    Regards,
    Sanjay

    Hi ,
    We are using R12.1.2.
    Once I submit the AR statements from 'Print Statements' form a 'Statement Generation' spawn program is being called. This internally is calling the 'AR Customer Open Balance Letter' program for EMEA countries.
    The 'AR Customer Open Balance Letter' is XML concurrent program which uses the data template 'ARXSGPO.xml' and RTF for generating the PDF output. But my requirement is to customize the data template 'ARXSGPO.xml'. I'm not able to customize it since the update button in the data definition 'AR Customer Open Balance Letter' is disabled.
    Please provide assistance in enabling the 'Update' button in the data definition so that I can load the new data template in place of 'ARXSGPO.xml'.
    Also I've tried to customize the 'Print Statement' report (ARXSGPO.rdf). We have done the setup by disabling the lookup code for EMEA countries(GB lookup code) in the lookup type 'AR_EMEA_COUNTRIES' (Navigation: Setup -> system -> Quickcodes -> Receivables).But 'Print Statement' program is not getting spawned by the 'Statement Generation' program.
    If the above mentioned approach is not possible to implement then provide a best possible solution to customize the AR statement report.
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  • Customer receivable aging

    Our customers system is local (CDN), but most of their sales are done in US, they must present their Customer receivables aging to the bank in US dollars.
    now here is the situation, you must balance with something of course.
    as per November 5/08
                                              LC                          FC
    chart of accounts
    1 account in particular     4951517.88             4239890.36
    Trial balance
    same account only          4997820.16            4355640.22
    General ledger
    same account                 4997820.16            4355640.22
    Customer aging
    for that 1 account            4997820.16             4373724.81
    what is different between the chart of accounts and the GL, should they not be the same ??
    and as for the aging we see the LC is ok, but the US (FC) is off how is the FC calculated for the aging

    Hi Jill,
    To add to the previous 2 posts, indeed, the ageing will be recalculated with the current exchange rate.
    It is worth noting that the behaviour would be different in case they would have been using single foreign currency BPs that are using only USD. This also shows the difference between Multi Currency and Local Currency.
    When there is a single foreign currency the balance is kept in the single foreign currency and will not be recalculated. However, for the Multi Currency BP, the balance is kept in Local Currency and is then recalculated to the foreign currency when the statement is done. (the reason is that Local Currency is the common currency for the different currencies that the Multi Currency BP might use)
    I realize this might be too late for this customer but for future reference I hope it will help, specially in Canada where this is quite common.
    Jesper

  • Amount column in customer receivable aging

    Dear All,
    Please let me know how can I add the 'amount' (doctotal of invoice or incoming payment) in the customer receivable Aging's 'Detailed Receivable aging report' category's  default system template. this column is there in the 'customer statement report (one page per customer'but not visiblle in detailed receivable aging report.  it is shown as text field in that report and no system variable or database field is linked to it. it is not shown even on the screen. how can I get that field? it is mandatory for me to show the 'amount' column along with the balance due column. please help.
    thanks,
    Binita

    Hi Binita,
    It is not possible,
    because customer receivable aging Report PLD is Hard Coded so you can not add any fields in that PLD.
    Regards,
    Madhan.

  • FI Customer Account Statement with Debit and Credit Columns

    Hi SAP Expert,
    We are using form (developed from T-code: SE71) to send customer account statment for only open items this is working fine.
    Now My wants customer account statement for all transactions but with debit and credit in a separate columns. is there any way we fulfill these kind of request?
    if any particular logic then let me know please.
    thanks in advance
    b/r
    prashant rane

    Dear Vivek,
    You logic is helpful can I apply this in SE71 form development?
    Below is my customer layout format
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    In bottom toal Debit / credit balance figure
    can I use any code/login is SE71 form or I will need to create any development report which involves user exit?
    I am looking for SE71 optios first
    thanks in advance
    Prashant Rane

  • VENDOR/GL/CUSTOMER  ACCOUNT STATEMENT WITH OPENING BALANCE

    Can anybody  tell me the tcodes in SAP for Vendor/Gl/Customer Account Statement with opening balance.
    Best Regards,
    Sudhanshu Dang
    0124-3081015

    hii
    As per my knowledge no such reports  for GL are there in sap.. we also had a same requirement but could not find it... we wanted reports with opening and closing balalnces...
    u can go to SAP1 and check all the standard reports available. check wheather any report fulfills ur need or else go for abap reports...
    Check f.42 T code for Vendor Report. and s_alr_87012172..for customer.
    thanks
    sejal

  • How to Extract Customized Financial Statement Version from R/3 to BW

    Hi Gurus,
    Could anybody tell me how to Extract Customized Financial Statement Version from R/3 to BW. Also send me docs on FICO and COPA extraction from R/3 to BW.
    Thanks in advance...
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    Sayed
    Please see this BW Best Practice link
    http://help.sap.com/bp_biv133/
    http://help.sap.com/bp_biv235/BI_EN/html/BW/COPABaselineAnal.htm
    http://help.sap.com/bp_biv235/BI_EN/html/BW/ControllingAnalysis.htm
    COPA Business content
    http://help.sap.com/saphelp_nw04/helpdata/en/28/3dc7393b26da1de10000000a114084/content.htm
    Hope this helps
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  • Financials- Aging- Customer Receivables Aging

    Hi,
    I'm not able to export Customer receivables aging report to PDF with the option File->Export ->PDF.
    But, I'm able to export with the option, preview and exports as pdf.
    All other documents like PDF to Purchase order works fine. 
    This issue with Aging report is happening with 64 bit and works fine on 32 bit.
    Could you please help me
    Many Thanks,
    Vishwanath

    Hi,
    Do you receive any error message?
    Thanks & Regards,
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  • Overdue amount in Customer Receivable Aging report

    Hi all!
    Got a question.
    In customer receivable aging report SAP Business One displays the relevant open receivables in columns representing the specifications you made in the Interval field in the selection criteria window. But how does it counts them? I've tried to pick all total from invoices,where between doc date and aging date 30 days passed. But it displays incorrect values. Is there any specific query for that?
    Please see screenshot attached for the values i need.

    Hi,
    Try with below query.But your selection criteria for date should be week.
    declare @Cust as nvarchar(20)
    Declare @FromDate Datetime
    Declare @ToDate Datetime
    declare @Group as nvarchar(20)
    set @cust = (select max(t0.cardcode) from OINV t0 where t0.cardcode = '[%0]')
    Set @FromDate = (Select min(t0.Docdate) from dbo.OINV t0 where t0.Docdate >='[%1]')
    Set @ToDate = (Select max(t0.Docdate) from dbo.OINV t0 where t0.Docdate <='[%2]')
    set @group = (select max(t2.groupname) from OCRG t2 where t2.groupname = '[%3]')
    SELECT [CustName] as CustName, [G] as CustGroup,[1] as W1, [2] as W2, [3] as W3, [4] as W4, [5] as W5, [6] as W6, [7] as W7, [8] as W8, [9] as W9, [10] as W10, [11] as W11, [12] as W12, [13] as W13, [14] as W14, [15] as W15, [16] as W16, [17] as W17, [18] as W18, [19] as W19, [20] as W20, [21] as W21, [22] as W22, [23] as W23, [24] as W24, [25] as W25, [26] as W26, [27] as W27, [28] as W28, [29] as W29, [30] as W30 , [31] as W31, [32] as W32, [33] as W33, [34] as W34, [35] as W35, [36] as W36, [37] as W37, [38] as W38, [39] as W39, [40] as W40, [41] as W41, [42] as W42, [43] as W43, [44] as W44, [45] as W45, [46] as W46, [47] asW47, [48] as W48, [49] as W49, [50] as W50, [51] as W51, [52] as W52
    from
    (SELECT T0.[CardName] as CustName, sum(T0.[DocTotal]) as Total, datepart(ww,T0.[DocDate]) as week, t2.groupname as G FROM OINV T0 left JOIN OCRD T1 ON T0.CardCode = T1.CardCode left JOIN OCRG T2 ON T1.GroupCode = T2.GroupCode WHERE year(T0.[DocDate]) = 2013 and T0.[CardCode] = @Cust and T0.[DocStatus] ='o' and T0.[DocDate] between @fromdate and @todate and t2.groupname = @group GROUP BY T0.[CardName],T0.[DocDate],t2.groupname
    union all
    (SELECT T0.[CardName] as CustName, -sum(T0.[DocTotal]) as Total, datepart(ww,T0.[DocDate]) as week,t2.groupname as G from ORIN T0 left JOIN OCRD T1 ON T0.CardCode = T1.CardCode left JOIN OCRG T2 ON T1.GroupCode = T2.GroupCode WHERE year(T0.[DocDate]) = 2013 and T0.[CardCode] = @Cust and T0.[DocStatus] ='o' and T0.[DocDate] between @fromdate and @todate and t2.groupname = @group GROUP BY T0.[CardName],T0.[DocDate],t2.groupname )) S
    Pivot
    (sum(S.total) For WEEK IN ([1],[2],[3],[4],[5],[6],[7],[8],[9],[10],[11],[12], [13], [14],[15],[16],[17],[18],[19],[20],[21], [22], [23], [24], [25], [26], [27], [28],[29], [30], [31], [32],[33],[34],[35],[36],[37],[38],[39],[40], [41],[42],[43],[44],[45],[46],[47],[48],[49],[50],[51],[52])) P
    Thanks & Regards,
    Nagarajan

  • SAP Business One 8.8 - Customer Receivables Ageing Report

    Hi All,
    We have one client on ramp up for SAP Business One 8.8. They love the new version and the feedback has been exceptional. I have one issue with the customer receivables ageing report. Once the results are displayed we are applying a filter on the report which does not seem to meet our expectations (Possible Bug?) We are trying to filter a particular ageing column only to display values if they are greater than 0 for that column. The filter partailly works since it displays the values greater than 0 but it also displays values where the column value = "Blank" thus not achieving the desired result! Does anybody know how to do this and if not should I log this on the SAP Messages Dashboard?
    I have also tried to use a condition where the column is not equal to blank but then again it displays customers who have a negative balance in that column! Once again not the desired result.
    Any help / feedback will be much appreciated!
    Thanks
    Andre Pienaar

    Hi,
    Please check by selecting any amount appearing in the list in the column you are filtering in the "Greater than". After selcting the value update the same to be zero and then filter the results.
    Check if it bring the desired results.
    Also, if not, please update us with the patch you are checking in order to test.
    Kind Regards,
    Jitin
    SAP Business One Forum Team

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