DIfference is too large In EBS

Hello Guru's
This is very urgent please find the following scenario client is using MT940 STRUCTURED FORMAT:
Scenario.Check returned from Bank which was issued to vendor
when we upload the MT940 statement in FF_5 im getting this error Error: (F5 263) The difference is too large for clearing.                                        
Entry should be:
Check issue debit
To vendor credit
All the configurations are perfect but what i feel is system is not able to identify the document.For all the transaction note payee is check no. as refference.But for this transaction system is not able to identify.
Posting rule  2 chrt 40 chk issu kz 8.
Could anybody show me the light,appreciated for your  help.Idont know how to use search string.For all other transaction system postings are happening except the above transaction.
Could anybody show me the light,appreciated for you help.
Thanks in Advance.......................

Hi,
System doesn't clearing customer/vendor when you execute FF.5 because
system was unable to find the appropriate open item which should be clea
red base on your configuration. For example, system could not find whic
h customer should be cleared.
When you do manual bank statement, you provide enough information, for
example, cusotmer account and other reference information. Therefore,
system was able to finish clearing.
Transaction type is RAA-REMI in your statement file and external transac
tion code 061 is used for all line item in the statement file.
Following posting rule and interpretation algorithm are configured in
IMG activity:
  -> Financial account
   -> General ledger accounting
    -> Bank accoutning
     -> Business transaction
      -> payment transaction
       ->Electronic bank statement
        Mantain globle parameters....
External trans    Posting rule       Interpretation
061             +    RE02         000: No interpretation.
It means no interpretaion will happen during uploading with FF.5 and sy
stem will search all open documents which amount is eqaul to the amount
in each line item in bankstatment file. If more than one document is se
lected, you will meet this error "difference is too large to clear".
It worked as design.
Please maintain one iterpretaion algorithm according to your bank statm
ent file. for example, 001.
If you don't maintain any, you must ensure only one open document exists
and its amount is eqaul to the line item in bank statment file.
I hope this helps.
BR,
Raquel

Similar Messages

  • Error: (F5 263) The difference is too large for clearing in  EBS

    Hi
    i was running  FF_5 , i got the the below error.
    Error: (F5 263) The difference is too large for clearing
    The next detail screen i found that the Bank account posting gone correct but issues in subledger posting (there 27 errors in the table).
    Can i have your inputs on this please.
    Thanks for your help in advance.
    regards
    Raghu

    Hello Shanid
    You are absolutely correct. There were two line items in my outgoing bank (2 line items of Rs. 4000 each).
    In my bank statement (electronic bank statement), there was only 1 line item of Rs.4000). So system gave this error (I checked in FEBAN).
    My expectation was, system will read assignment field for the check number and it will consider only one line item of Rs.4000 where check number in bank statement is matching with assignment field.
    Please let me know, how to achieve this.
    Please note that, this is working fine in manual BRS.
    Meena

  • EBS F5 263 - The difference is too large for clearing

    Hi,
    When I am trying to upload the bank file from FF_5, i am getting the error as "(F5 263) The difference is too large for clearing".
    I have already gone through with posts related with the same error but didn't get the solution. I have checked OBA0, OBA3 and OBA4 and there is no problem in that.
    Request you to please help me in resolving the same.
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    Have you successfully uploaded the bank statement before? Are you newly implementing the electronic bank statement? Are you getting this message for "all" the items in the bank file or one particular item? If for one item make sure that the amount of the open item is equivalent to the item in the file. In FEBA (Bank Statement Subsequent Processing), when you attempt to manually post the item, is the system finding mutiple items for the same amount? If multiples are found then you must select the individual item.

  • EBS - The difference is too large for clearing

    Hi,
    While uploading Electronic bank statement in FF.5 i am getting the error " The difference is too large for clearing". How to solve the issue.
    But while uploading the same in manual bank statement, i am getting the same error in FEBA but i can able to solve manually.
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    Do you have reviewed the tolerance level for differences at automatic clearing? You probably need to do the following:
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  • Trx F-53, The difference is too large for clearing Message no. F5263

    Hi,
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    Dear Sappione,
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  • Error while posting Invoice IDOC (The difference is too large for clearing)

    Hi All,
    While posting Invoice IDOC to Remittance Advice IDOC get fails with status 51 &  message ' The difference is too large for clearing'.
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    Moderator message: please search for information and try to find out yourself before asking, this will be a functional problem anyway that should be asked in the appropriate forum, e.g. ERP Financials.
    locked by: Thomas Zloch on Aug 20, 2010 1:59 PM

    Pls check the tolerance amounts limits:
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    Where you need to change the limits of max amounts with the %
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    Suresh

  • Currency "Difference is too large for clearing" when using t-code F-32

    AR Business process is as follows: Invoices are issued.  When payment is received, it is posted using F-26, with reference to customer but no specific invoice. F-32 is then used to match payments against invoices, and clear them.  When trying to clear foreign currency customer items in local currency we receive error message F5263 "Difference is too large for clearing."  We have set tolerance levels at the highest possible amount in OBA4.  Please advise.

    The forum [FPM - General|Enterprise Performance Management (SAP EPM); in which you originally posted your question deals mainly with the financial performance applications otherwise known as Enterprise Performance Management (EPM) carrying the BusinessObjects brand.   Your question pertains to SAP [ERP Financials|SAP ERP Financials; which is covered by another forum.  Therefore your message has been moved.  Please adjust any bookmarks you might have and post to the appropriate area in the future, that way you are assured you will have the right audience reading your posts.
    Thanks and best regards,
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  • T.Code: F-03 -The difference is too large for clearing

    Hi,
    When we try to clear G/L Account line item we are getting the error message is " The difference is too large for clearing"
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    And When we click the error message we are getting the below description:
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    A non-assigned difference exists for the specified clearing amount.
    The difference for an automatic difference posting must not be greater than the difference permitted for the user, nor greater than the difference permitted for the tolerance group that is contained in the customer/vendor master record.
    System Response
    It is not possible to automatically charge off the difference.
    Procedure
    You can charge off the difference manually using the function "Clear differences". You define the upper limits for automatically clearing differences in the tolerance group assigned to the user.
    Change tolerance groups for user
    Can you please suggest us how to resolve this problem
    Thanks in advance

    Hello,
    You need to check your settings for the company code involved concerning
    clearing in local currency. You can find this setting within the
    Implementation Guide under following path:
    Financial Accounting
    -> Financial Accounting Global Settings
       -> Company Code
          -> Enter Global Parameters. (transaction OBY6)
    The field in question is called 'No exchange rate differences when
    clearing in Local Currency' (V_001_B-XSLTA).
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    When clearing an account (e.g. transactions FB1*, F-44 etc.) without
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    the functionality 'posting with clearing' (e.g. FB05) and post the
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    I hope this helps.
    Oscar Diaz

  • Difference is too large for clearing - AR

    Hi
    We have a scenario  where we are trying to clear a SINGLE open line item from customer account. The amount is say 0.02USD and it is well within the tolerance limit set for both the users and the customers in the company code. The tolerance group is also assigned in the customer master.
    Also we have configured the expense accounts for charging off the difference in OBXL based on reason codes. The reason code has "charge off diff" ticked in table T053R for the company code.
    When we try to clear this open item the system gives the message "Difference is too large for clearing". There are no exchange differences.
    Please let us know what we are not doing right.
    Best wishes
    Raj.

    dear Raj,
    follow steps bellow
    1 - OBA4 definition - 99,9%
    2 - F-44 (or any other customer clearing tcde)
    3 - Autmatic clearing discount

  • Prompt error message difference is too large

    Need help, how to clear vendor open item in foreign currency.
    When we try to clear vendor open item using T-code F-44 the error message display prompt error message difference is too large.

    Dear Karen,
    Please go to SPRO>
    Financial Accounting (New)>
    Global Parameters for Company Code>
    Enter Global Parameters>
    Select your company code and double click>
    Please what is the Maximum exchange rate deviation????
    Is it sufficient to meet the diff posting the entry you want to post.
    Regards,
    Alok

  • While doing  F-32 i am getting the The difference is too large for clearing

    Dear Gurus,
    I am getting the below message while clearing customer open items in f-32.
    The difference is too large for clearing.
    Regards,
    Prasad

    When you are clearing the Debit and Credits in F-32, You need to see the below things.
    1. Bothe Debits and Credits are mathcing, means Negatives and Positives are matching or not.
    2. If there are any discounts line items automatically generating coming
    3. Forex transactions are also there
    4. Just check the entire program again
    Thanks

  • IDOC staus: 51, The difference is too large for clearing

    All,
    IDOC staus: 51, the difference is too large for clearing.  Can somebody throw light on this ?
    -Rajani Sateesh

    Hi,
    Thanks for your response.
    External transaction type 165(+), Posting rule 0001, interpretation algorthim 020
                                             508(-),  Posting rule 0002, interpretation algorthim 020
    Waiting for your reply
    Regards,
    Durgasankar

  • FB05 (post and clearing) u0093The difference is too large for clearingu0094

    I am passing entry through FB05 (Post and clear). The entry is between two GL accounts maintained as open items. At the time of passing the entry there is difference between these two accounts. I want this difference to be posted automatically to profit and loss account. (I don’t want to charge of the difference manually). I can not post the entry because system is throwing error such as “The difference is too large for clearing”. I checked the tolerance limit(OBA4), but the difference is within the tolerance limit.
    Does anybody know how to configure for this situation?
    Do I need to do any configuration in FBKP?
    (Please consider this very urgent)
    Regards,
    Amit Bedekar.

    Hello
    Check if this helps.
    Reason Codes
    Use
    To use the clearing document to find out why a difference existed, you can assign reason codes to the line items. Reason codes are indicated by keys that you define in Customizing.
    You can assign reason codes for the following:
    Partial payments made for open items.
    Residual items created for an open item. Here you can assign one or more reason codes. In this case, you divide the difference amount into a corresponding number of partial amounts.
    Differences posted on account without reference to an open item.
    For each line item you enter in the clearing procedure, if the reason code field for the account is ready for input.
    Integration
    When you process residual items, the reason code also controls how the remaining amount is posted. The remaining amount can be posted as follows:
    To a G/L account that is assigned to the reason code you enter.
    As a new customer or vendor open item if you do not enter a reason code, or if the reason code you enter is not indicated as described.
    Features
    Properties of Reason Codes
    For incoming payments, you can send a payment notification to the customer. This process can run automatically if differences arise during clearing. In the tolerance group set up for the customer, you can define what type of notice to create for partial payments, residual items, and payments on account.
    The system can use the specified reason code to determine the type of notice to create as long as only one reason code is specified in the entire clearing transaction.
    In order to check a customer's credit limit, the total of open items is taken into account. If certain contentious items should not be considered, you can define a separate reason code for these items.
    Reason codes control:
    How the difference is posted (as a new open item or to a predefined G/L account)
    What type of payment notice is created
    Whether an item is included in credit limit checks
    For information on defining reason codes, see the following activities in the Financial Accounting  Implementation Guide:
    Define Reason Codes (Incoming Payments)
    Define Reason Codes (Manual Outgoing Payments)
    Define Standard Reason Codes for Clearing with Payment Advice Notes
    Reg
    *assign points if useful

  • Difference is too large for clearing

    Hi Gurus
    When we are trying to post a document it is showing us the error that "difference is too large for clearing in group currency". Could you assist on this?
    Suitable answer would be rewarded.
    Thanks
    sweta

    Hi swetha,
    One of the solution for this problem is :It is nothing but the difference postings.
    After entering document number etc...
    You are now coming to postings screen.Select standard posting only in F-28.
    Then in that difference postings field you enter the difference amount as this field is editable only and simulate the posting.Such that not assigned field should contain the value 0.00
    Save.
    Now the clearing document is created and it is nothing but the partial payment.
    Regards,
    Mohan
    Edited by: mohan phani on Dec 1, 2008 5:28 PM

  • BDC  Error in background 'The difference is too large for clearing'

    Hi,
    In foreground the BDC session runs perfectly and errors only when the program is running in the background.
    In background, the following messages are captured.
    Select line items first of all     FB05     1     SAPMF05A     0300
    163 items were selected     FB05     1     SAPMF05A     0710
    The difference is too large for clearing     FB05     1     SAPDF05X     3100
    No batch input data for screen SAPDF05X 3100     FB05     1     SAPDF05X     3100
    But, in real BDCDATA contains all the above said screens.   Kindly note the above comes as a success message in the background and does not appear in the foreground.
    Any response is highly appreciated.
    Ashish

    Hello Ashish,
    I suggest you to run FB05 for clearance for the same data and check if this message is encountered.
    Please contact your functional guy and check the business reasons about this message.
    Kindly go through the below links
    http://scn.sap.com/thread/985136
    https://scn.sap.com/thread/472069
    Thanks

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