Display Payment proposal list
Dear Guru's
My company has just updated SaP system from 3.1H to Ecc6. When I run proposal, in the column selection field I can see Name 1 but cant find Name 2 and Name 3, is there anyway to include this fields so that I can select Name 1, Name 2 and name 3
Regards
SHakeer
Hi Joao, thanks for your response, these are the screenshots:
In vendor master 10000538 I have an Alternative payee 10000243:
If we review vendor master information (Bank Details ) for 10000243:
As you see Bank Data is maintained. When we do payment run using F110, then select Display Proposal, the Payee's account no and bank key does not appear
Information about these fields:
Payee's bank key field data Table name REGUO, Field name ZBNKY Data Element DZBNKY
Payee's account no field data Table name REGUO, Field name ZBNKN Data Element DZBNKN
Similar Messages
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Hi
Today after creating a payment proposal list when the user tried to display the proposal list,it is showing all the transaction items of last three years.It should not.It should display only what is created in latest proposal created. I have not changed any config on AP. Can some one help me why proposal list is showing all the old cases ?
Thanks
SatyaHi,
In your case U have described that in the proposal list all the line item pertaining to last year U are getting the list, that means u have open line items of last three year, try to close those open items of last three years, and then try to create the new payment run and check. I think it will work because as mentioned by U that U have not changes any confonfiguration.
Regards,
Venkat. -
Partner bank type field missing in payment proposal list
Hi Gurus,
The partner bank type field is not being displayed in payment proposal list whereas I can display the same in vendor line item display. Though there is a field named BnkT in the proposal list the partner bank type is not displayed. Kindly advice me in this regard.
Regards.Hello,
Please note the system selects the bank with the lowest BVTYP.
This means that a bank which has no BVTYP will be selected first,
then one with AAAA, then BBBB. This is the reason why the partner
bank which you expected was not chosen.
Please read the F1 help for this field which explains the main purpos
of this field:
F1 Help:
In the business partner's master record:
If several bank accounts exist in a customer or vendor master
record, you can assign different keys for these accounts.
In the item:
To use a particular bank of the business partner for the payment
an item, enter the appropriate key in the item. The payment prog
then pays the item via the business partner's predefined bank.
Here you can enter, for example a number, 0001.
Then, when you post a document with the transaction FB01 or F-42, you
can display the field 'Partner bank type' (BSEG-BVTYP). Here you can
write the number 0001 or another number for another bank of the same
vendor. Afterwards, you can post this document.
Also, you can use Business Transaction Event (Open-FI) 00001810 to
implement your own algorithm to select a bank. For details, see the
documentation of the sample function module SAMPLE_PROCESS_00001810.
Also review below notes in the same context about "F110: partner bank
type".
363219 - F110: Wrong partner bank after proposal run maintnc
390740 - F110: partner bank type not in clearing line of payment doc
Hope this clarifies the system behaviour.
regards
Ray -
F110: Why Payment Proposal List is different from Payment Settlement List?
After running payment run for a European country, the process has been completed successfully.
But checking the Payment settlement list, there are vendors that are not included here, but included in the Payment Proposal list. At first, I thought of the exception list, but its not.
What may be the possible reasons on this difference?Hi ,
May i know what exception fields you given in free selection tab.
Did you select that Exclude values check box in free selection tab.
As per my knowledge these option for exception for payments
For exception of the payment we can block for payment through edit proposal
May be this information is useful to you
If you have anydoubt feel free to ask
Regards
Surya -
Reference field in payment proposal list
Hi Gurus,
Can we have reference field in payment proposal list?
Please tell me how as it is not available in change layout fields.
Thanksdid you try to check your config ?
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Payment proposal list missing bank data from vendor
when we print the payment proposal via F110 Edit>proposa>proposal list
the bank details from the vendor master used to appear, however they have suddenly disappeared we use standard SAP program RFZALI20
thanksHi,
I am not that much sure but this can be done with the help of Work flow.
Regards
Shayam -
Hi All,
We have a requirement to give access to some users to only view the payment proposal.
Txn FBZ0 gives user the access to edit the proposal as well.
Is there any way we can restrict the user to only view the payment proposal & not be able to edit the same ?
Thanks in advance
Rgds,
NitinHi,
Good morning and greetings,
Create a new profile for the transaction code F110 (in display mode only) and attach the profile to the user ID SU01...the user will be in a position to only view the payment run and will not be in a position to do anything to the proposal...The profile name is S_A.SHOW.
Please reward points if found useful
Thanking you
With kindest regards
Ramesh Padmanabhan -
Standard Datasource for Payment & Proposal List (S_P99_41000099)
Hello,
Looking for standard datasource in SAP R/3 for Payment List and Proposal List.
The R/3 Query is S_P99_41000099. The fields for this query are coming from PAYR and REGUH tables.
If we have any standard datasource available, then we can use that otherwise i have to go for database view and
create a generic datasource on the view.
I have another issue too, basically i'm also working on Check register Query, and we have ECC 6 (Net-weaver 4) and the standard datasource for Check register is available from ECC 6 SP-3 onwards. Do we have any other alternative for this? Installed the BI content for BW objects as we have 0FIAP_C50 available. But wondering how to work on the back end datasource. In the check register query, we have all the fields coming from PAYR Table.
Please can someone please guide me on this?
Thanks
VandanaHi,
There is no standard datasource on PAYR table.
Check the below thread -
PAYR Table Data source
Regards,
Geeta -
Payment Proposal List - DME generaion
Hi,
I am implementing SAP E-Banking solution, my requirement as follows,
One Payment proposal generated for following amounts,
1. Amount 10000 - one approval
2. Amount 15000 - One approval
3. Amount 50000 - Two Approvals
4. Amount 100,000 - Three Approvals.
I need to send the DME file for amount 10000, 15000 after the first approval itself, should go to the bank for payment,
Next 50,000 after approved by two person this also should be sent, and 100,000 may get rejected or approved after a day.
Is this possible to handle in SAP APP .
Thanks and regards
Praveen JagadeesanDear Shyam,
Thanks for the reply, can you please throw some light on the below question in breif,
How to send the DME file before approving the payment proposal as a whole and sent to bank? any functional configuration involved to achieve this.
thanks and regards
Praveen Jagadeesan -
Show Net Due Date in F110 - Proposal list / Payment list
Dear Gurus,
I would like to ask for help in below issues:
I want to display "Net due date" field in transaction F110 - Proposal list / Payment list (program : RFZALI20) but I only found "Baseline Payment date" and "Payment term" in variant maintenance.
Would appreciate if someone can give me the solution / suggestion for above issue?
Thanks & regards,
LOIHi,
1) You may copy the sample interface function module: SAMPLE_INTERFACE_00002110 (to get the passing parameters) and code your coding as below:
**To calculate Net due date = baseline date + payment term
FUNCTION yyyy.
LOOP AT T_REGUP_LST.
T_REGUP_LST-ZZFAEDT = T_REGUP_LST-ZFBDT + T_REGUP_LST-ZTERM.
MODIFY T_REGUP_LST.
ENDLOOP.
ENDFUNCTION.
2) Make sure you have declared the new field in tbl CI_REGUP_LST and CI_REGUH_LST (item level in tbl-CI_REGUP_LST; header level in tbl-CI_REGUH_LST).
3) Configure IMG through FI > Financial Accounting Global Settings > Business Transaction Events
a) Settings > Products > of a Customer > Define a new product and activate it
e.g Product = Zxxxx
b) Settings > P/S Function Modules > of a Customer >
e.g Event = 00002110
Product = Zxxxx
Appl = FI-FI
Function Module = yyyy
4) Proceed to test the new fields added through F110: Payment / Proposal List from program RFZALI20
I hope to hear a good news from you.
Thanks & regards,
LOI -
Proposal list not displayed correctly when selected with a layout
Dear All
I have an issue with payment proposal list.
When i select EDit tab on F11o and click on proposal list, i can see the proposal list for all company codes selected in parameters.When i click on change layout the system asks me maintain variant and when i click on yes it shows me the list only for one company code.
the new layout only shows me list for exception items and does not include payment proposal items from another company code...
can somebody please help
thanks
sanjeevEarly implementations of the POJO Factory set the default display size to 12, which caused corruption in the display starting from the 12th character when the size exceeded the display size.
Would you try specifying the MemberColumnDisplaySize property for that column in POJOResultSetFactory to reflect the actual size?
Sincerely,
Ted Ueda - Developer Support -
Standard Report for Payment Proposal:Open Items
Hi all
Is there any standard report for to display Payment Proposal:Open Items?
I know we can see them in F110 but I am wondering if there's other related report.
Thanks in advance.
azHi,
Check following report. it may help you
S_P99_41000099 - Payment List
Regards,
Jigar -
Payment program- error in payment proposal
frnds
i am trying to run payment program and after entring all the parameters, i tried to display proposal, but it gave me following error and message no.
Message no: FZ003
Error: Compnay codes TT00/TT00 do not appear in proposal 04/13/2007.
Diagnosis:
No data exists for the specified paying company code TT00 and the specified sending company code TT00 in payment proposal 04/13/2007.
Procedure:
Check the flow trace and payment proposal list in order to determine why the specified company codes are not contained in the proposal.
please reply asap , as i need to pay vendors by tomorrow.
my paying co code and sending co code is TT00 in FBZP
thanksHi
This means that there are no invoices due on the dates you have specified in the proposal. Check the following:
(1) The due date of the invoice that you want to pay;
(2) The posting dat of these invoices - they should be before the "Docs entered up to" date that you entered in F110. -
Run F110 Payment Proposal in Custom Z Report
Hi Folks,
I have a requirement to run payment proposal part of the F110 transaction from a Z program without having to create a payment proposal.
It's a little tricky to explain so I will try to say it in these terms:
My desired output is the "Display Payment Proposal: Payments" table that can be viewed by clicking Display Proposal button in F110.
My desired input is Company Code, Pament Methods, Next Payment Date and the list of Vendors (i.e. the values that are entered when creating the payment parameters.)
So, is this achieve able without going through tons of F110 code to replicate the functionality.
Many thanks for any help,
ColmI created a function module to do the work. Hopefully somone finds it useful
FUNCTION z_run_dummy_pay_proposal.
*"*"Local Interface:
*" IMPORTING
*" REFERENCE(I_LAUFD) TYPE F110V-LAUFD
*" REFERENCE(I_ZWELS) TYPE F110V-ZWELS
*" REFERENCE(I_NEDAT) TYPE F110V-NEDAT
*" REFERENCE(I_LAUFI) TYPE F110V-LAUFI
*" EXPORTING
*" REFERENCE(EXCEPTION) TYPE CHAR255
*" CHANGING
*" REFERENCE(T_LIFNR) TYPE ZTT_LIFNR
*" REFERENCE(T_BUKRS) TYPE ZTT_BUKRS
*" REFERENCE(T_REGUH) TYPE ZTT_REGUH
*" REFERENCE(T_REGUP) TYPE ZTT_REGUP
*" REFERENCE(T_BSIK) TYPE ZTT_BSIK
DATA: ls_rfdt TYPE rfdt, "Cluster Table that stores the Payment Parameters
lv_seconds TYPE i, "Seconds used to control the wait time
ls_lifnr TYPE lifnr,
ls_bukrs TYPE bukrs.
*RFTD table is the parameter cluster table for F110 amoung others
CONSTANTS: lc_relid TYPE rfdt-relid VALUE 'FB', "CHAR02 data element for SYST from RFDT table
lc_parm TYPE c LENGTH 4 VALUE 'PARM', "Constant value to pass into the RFDT table
lc_f110 TYPE c LENGTH 4 VALUE 'F110'. "Constant value to pass into the RFDT table
*The values are needed to store the parameters correctly in the Parameter Cluster Table
f110v-laufd = i_laufd.
f110v-laufi = i_laufi.
f110c-budat = i_laufd.
f110c-grdat = i_laufd.
rfdt-mandt = sy-mandt.
rfdt-relid = lc_relid.
CONCATENATE lc_f110 i_laufd i_laufi lc_parm INTO rfdt-srtfd.
f110id-progr = lc_f110.
f110id-laufd = i_laufd.
f110id-laufi = i_laufi.
f110id-objkt = lc_parm.
*Build up the Vendors that are being stored in the parameters
LOOP AT t_lifnr INTO ls_lifnr.
r_lifnr-sign = 'I'.
r_lifnr-option = 'EQ'.
r_lifnr-low = ls_lifnr.
APPEND r_lifnr.
ENDLOOP.
*Build up the Company Codes that are being stored in the parameters
LOOP AT t_bukrs INTO ls_bukrs.
fkttab-bugrp = sy-tabix.
fkttab-zwels = i_zwels.
fkttab-nedat = i_nedat.
fkttab-bukls = ls_bukrs.
fkttab-xpruf = 'X'.
*To match the SAP standard I put in 6 blank lines
APPEND fkttab.
CLEAR fkttab.
APPEND fkttab.
CLEAR fkttab.
APPEND fkttab.
CLEAR fkttab.
APPEND fkttab.
CLEAR fkttab.
APPEND fkttab.
CLEAR fkttab.
APPEND fkttab.
CLEAR fkttab.
APPEND fkttab.
ENDLOOP.
LOOP AT fkttab WHERE bugrp IS NOT INITIAL.
buktab-bukrs = fkttab-bukls.
buktab-bugrp = fkttab-bugrp.
SELECT SINGLE land1
FROM t001
INTO buktab-land1
WHERE bukrs = fkttab-bukls.
SELECT SINGLE zbukr
FROM t042
INTO buktab-zbukr
WHERE bukrs = fkttab-bukls.
APPEND buktab.
ENDLOOP.
*Use the SAP standard to format the Vendors
PERFORM selektion_lifnr.
*Create the Payment Parameters
PERFORM sichern.
*Commit the work and wait for the Payment Parameters to be written to the database
COMMIT WORK AND WAIT.
*Wait up to 4 minutes for the Payment Parameters to be created, if they aren't after
*4 minutes raise an exception
CLEAR lv_seconds.
DO 240 TIMES.
SELECT SINGLE *
FROM rfdt
INTO ls_rfdt
WHERE relid = lc_relid
AND srtfd = rfdt-srtfd.
IF sy-subrc = 0.
EXIT.
ELSE.
WAIT UP TO 1 SECONDS.
lv_seconds = lv_seconds + 1.
IF lv_seconds = 240.
exception = 'parameter_create_failed'. "Old and new exceptions cannot be used at the same time
EXIT.
ENDIF.
ENDIF.
ENDDO.
*Once the payment parameters have been created we can create a payment proposal
CALL FUNCTION 'SCHEDULE_PAYMENT_PROPOSAL'
EXPORTING
i_laufd = i_laufd
i_laufi = i_laufi
i_xstrf = 'X' "Create immediatly
EXCEPTIONS
startdate_wrong = 1
parameters_missed = 2
lock_failed = 3
job_open_failed = 4
job_close_failed = 5
OTHERS = 6.
IF sy-subrc <> 0.
exception = 'proposal_create_failed'. "Old and new exceptions cannot be used at the same time
ENDIF.
*Trigger the Job
COMMIT WORK AND WAIT.
*Clear out the tables that are used to store the cluster table
*values for the parameters
REFRESH: buktab, fkttab, slktab, sldtab, trctab, usrtab,
faetab, jobtab.
CLEAR: buktab, fkttab, slktab, sldtab, trctab, usrtab,
faetab, jobtab, f110c, trcopt, f110versionpar.
*Import the Payment Parameters Values
IMPORT buktab fkttab slktab sldtab trctab usrtab
faetab jobtab f110c trcopt f110versionpar
FROM DATABASE rfdt(fb) ID f110id.
*Check to see has the job finished
CLEAR lv_seconds.
DO 240 TIMES.
READ TABLE jobtab INDEX 1.
SELECT SINGLE *
FROM tbtco
WHERE jobname = jobtab-jobname
AND jobcount = jobtab-jobcount
AND status = 'F'.
IF sy-subrc = 0.
EXIT.
ELSE.
WAIT UP TO 1 SECONDS.
lv_seconds = lv_seconds + 1.
IF lv_seconds = 240.
exception = 'proposal_create_failed'. "Old and new exceptions cannot be used at the same time
EXIT.
ENDIF.
ENDIF.
ENDDO.
*Store the Payment Proposal Header Values
SELECT *
FROM reguh
INTO TABLE t_reguh
WHERE laufd = i_laufd
AND laufi = i_laufi.
*Delete the values where no payment will be made
DELETE t_reguh WHERE vblnr IS INITIAL.
*Store the Payment Proposal Line Item Values
SELECT *
FROM regup
INTO TABLE t_regup
FOR ALL ENTRIES IN t_reguh
WHERE laufd = t_reguh-laufd
AND laufi = t_reguh-laufi
AND xvorl = t_reguh-xvorl
AND zbukr = t_reguh-zbukr
AND lifnr = t_reguh-lifnr
AND kunnr = t_reguh-kunnr
AND empfg = t_reguh-empfg
AND vblnr = t_reguh-vblnr.
*Get the relevant Outstanding Payment to Vendors Values
SELECT *
FROM bsik
INTO TABLE t_bsik
FOR ALL ENTRIES IN t_regup
WHERE bukrs = t_regup-bukrs
AND lifnr = t_regup-lifnr
AND umsks = t_regup-umsks
AND umskz = t_regup-umskz
AND zuonr = t_regup-zuonr
AND gjahr = t_regup-gjahr
AND belnr = t_regup-belnr
AND buzei = t_regup-buzei.
*Delete the Payment Proposal
CALL FUNCTION 'DELETE_PAYMENT_PROPOSAL'
EXPORTING
date = i_laufd
identification = i_laufi
EXCEPTIONS
abnormal_end = 1
no_delete_authority = 2
OTHERS = 3.
IF sy-subrc <> 0.
exception = 'proposal_delete_failed'. "Old and new exceptions cannot be used at the same time
ENDIF.
*Delete the Payment Parameters
CALL FUNCTION 'DELETE_PAYMENT_PARAMETERS'
EXPORTING
i_laufd = i_laufd
i_laufi = i_laufi
i_inter = space
EXCEPTIONS
no_authority = 1
parameters_missed = 2
wrong_status = 3
OTHERS = 4.
IF sy-subrc <> 0.
exception = 'parameter_delete_failed'. "Old and new exceptions cannot be used at the same time
ENDIF.
ENDFUNCTION.
Edited by: Colm Gavin on Apr 15, 2011 12:22 PM -
Payment Proposal error in F111
Hello,
We recieve the below error in the proposal.
the parameters are ,US01 company code, U- payment method.
First we create payment request in Treasury system with tcode : RVND in curr INR then run f111.
INR is also specified in FBZP for payment method U.
When we use any other foreing curr the payment is successful with the same payment method and same house bank
Please advice.
Thanks very much.
ERROR
Company codes US01/US01 do not appear in proposal 11/24/2009 INR-1R; correct
Message no. FZ 003
Diagnosis
No data exists for the specified paying company code US01 and the specified sending company code US01 in payment proposal 11/24/2009 INR-1R.
System Response
The payment proposal cannot be edited.
Procedure
Check the flow trace and payment proposal list in order to determine why the specified company codes are not contained in the proposal.Hi,
Did you try this?
Call up the Payment Program for Payment Requests (F111). Choose Environment ® Maintain Configuration to make your Customizing settings for the payment program.
Activities
To start a payment run, call the Payment Program for Payment Requests (F111). The Automatic Payment Transactions for Payment Requests screen appears.
1. Enter a date and payment run ID.
All information relating to the payment run is stored under these values.
2. Choose Edit ® Parameters ® Maintain Payment Run Parameters. The Automatic Payment Transactions: Parameters screen appears.
Enter the values for the parameters.
3. TheDynamic selections function gives you the option of using other fields for selecting payment requests.
4. You can create an additional log by choosing Additional Log.
5. Save the parameters for the payment run.
6. To generate a proposal run or a payment run, choose Edit ® Proposal ® Schedule or Edit ® Payment ® Schedule.
Specify a starting time (or immediate start) and a computer, if required.
7. If you create a proposal, you can display the log, payment list and exception list. You can edit or delete the payment proposal. If you are satisfied with this payment proposal, choose Edit ® Payment ® Schedule and execute the update run.
8. After the payment run, the system generates the posting documents, the payment and exceptions lists, and the payment media.
Let me know if you are still facing an issue.
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