DUNS number in vendor master

Hi,
We would like to store the DUNS number of our suppliers in the vendor master. It seems that an LFA1 extension is available specifically for storing the DUNS number and other D&B related data. I can not find any info on this. Can some one provide me with some info? We are on ECC5.0.
Regards,
Ed

hi,
field lfa1-kraus ->External number as a reference for a credit agency (for information only).
rgds
Boris

Similar Messages

  • Dunning procedure in Vendor master

    Why do we create Dunning procedure in Vendor master.. cud u pls advise..?
    Txk
    Umesh

    3.3.3.4.1.2     Dunning Procedure
    3.3.3.4.1.2.1     Defining Dunning Procedures
         Use
    You enter the settings that control the dunning program by:
    1.     Specifying the company codes to include in dunning.
    2.     Setting up the dunning procedure you want to use (dunning interval, grace periods for the due date determination and number of dunning levels)
    3.     Setting the dunning charges.
    4.     Specifying the net payment due date at which a particular dunning level is reached.
    5.     Specifying the dunning notice you want to send to your customers.
    The following dunning procedures have been defined for dunning customers:
    0001     Four-level dunning notice, every two weeks
    Z030     Interest calculation after 30 days
    The dunning procedure Z030 specifies that customers who do not pay within 30 days are automatically in arrears. The customers receive a dunning notice without interest amounts. From then on, interest is calculated for the open items using the interest calculation program (see also the section on the interest calculation program).
    Procedure
    1.     Access the activity using one of the following navigation option:
    Transaction code     SPRO
    IMG menu     Financial Accounting (NEW) ® Accounts Receivable/
    Accounts Payable ® Business Transactions ® Dunning ® Dunning Procedure ® Define Dunning Procedures
    2.     Choose New procedure.
    3.     Make the following entries:
    Field name     Entry
    Dunn.Procedure     0001
    Name     Four-level dunning notice, every two weeks
    Dunning Interval in Days     014
    No.of dunning levels     4
    Total due items from dunning level
           3
    Min.days in arrears (acct)
         6
    Line item grace periods
         2
    Public hol.cal.ID
         08
    Interest indicator
         01
    Standard transaction dunning     X
    Ref.Dunning Procedure for Texts     0001
    4.     Choose Dunning Levels.
    5.     Maintain the following entries:
    Field name     Dunning level 1     Dunning level 2     Dunning level 3     Dunning level 4
    Days in arrears     2     16     30     44
    Calculate interest               X     X
    Always dun                    X
    Print all items               X     X
    Payment deadline               10     7
    6.     Choose Charges, enter currency EUR and make the following entries:
    Field name     Dunning level 1     Dunning level 2     Dunning level 3     Dunning level 4
    Dunn.charge     5     5     10     10
    7.     Choose Minimum Amounts, enter currency EUR and make the following entries:
    Field name     Dunning level 1     Dunning level 2     Dunning level 3     Dunning level 4
    Minimum amount     1     2     5     10
    Min.amt for interest     1     5     10     10
    8.     Choose Dunning Texts, enter company code BP01 and choose account type customer. Make the following entries:
    Field     Dunning level 1     Dunning level 2     Dunning level 3     Dunning level 4
    Form     Z_F150_DUNN_01     Z_F150_DUNN_01     Z_F150_DUNN_02     Z_F150_DUNN_02
    9.     Choose Save.
    10.     Choose Back and maintain the next dunning procedure.
    11.     Choose New procedure.
    12.     Make the following entries:
    Field name     Entry
    Dunn.Procedure     Z030
    Name     Interest Calculation after 30 days
    Dunning Interval in Days     014
    No.of dunning levels     2
    Public hol.cal.ID
         08
    Interest indicator
         01
    Standard transaction dunning     X
    Ref.Dunning Procedure for Texts     Z030
    13.     Choose Dunning Levels.
    14.      Maintain the following entries:
    Field name     Dunning level 1     Dunning level 2
    Days in arrears          14
    Calculate interest     X     X
    Print all items     X     X
    Payment deadline     7
    15.      Choose Dunning Texts, enter company code BP01 and choose account type customer.
    16.      Make the following entries:
    Field name     Dunning level 1     Dunning level 2
    Form     Z_F150_DUNN_04     Z_F150_DUNN_04
    17.      Choose Save.
    3.3.3.4.1.2.2     Defining Dunning Procedures
         Use
    In this activity you enter the settings that control the dunning program.
         Procedure
    1.     Access the activity using one of the following navigation option:
    Transaction code     SPRO
    IMG menu     Financial Accounting (NEW) ® Accounts Receivable/
    Accounts Payable ® Business Transactions ® Dunning ® Dunning Procedure ® Define Dunning Procedures
    2.     Choose the menu Environment ® Company Code Data and make the following entries:
    Company Code     Dunning by Area     Separate Dunn. Notice     Ref. Comp. Code      Sort. Variant Acct     Sort. Variant Items     Dunn. Comp. code
    BP01               BP01     K1     P1     BP01
    3.3.3.4.1.2.3     Defining Interest Rates
         Use
    In the dunning program, an interest rate of 7.68% has been defined for interest indicator 01 and the currency EUR. This interest rate is the same as the rate set for the interest calculation program and is calculated from the discount rate (2.68%) and a surcharge of 5%.
         Procedure
    1.     Access the activity using one of the following navigation option:
    Transaction code     SPRO
    IMG menu     Financial Accounting (NEW) ® Accounts Receivable/
    Accounts Payable ® Business Transactions ® Dunning ® Dunning Procedure ® Define Interest Rates
    2.     Make the following entries:
    Interest Indicator     Currency     Valid from     Debit Interest     Credit Interest
    01          01.01.1991     7.680     7.680
    01     PHP     01.01.1991     7.680     7.680
    3.3.3.4.2     Printout
    3.3.3.4.2.1     Defining Sender Details for Dunning Forms
         Use
    In this activity, you define which standard texts are used for the header, the footer, and the sender address in the letter window for each company code.
         Procedure
    1.     Access the activity using one of the following navigation option:
    Transaction code     SPRO
    IMG menu     Financial Accounting (NEW) ® Accounts Receivable/
    Accounts Payable ® Business Transactions ® Dunning ® Printout ® Define Sender Details for Dunning Forms
    2.     Make the following entries:
    Dunning Area     Text ID     Header Text     Footer Text     Signature Text     Sender
         ADRS     ADRS_HEADER     ADRS_FOOTER     ADRS_SIGNATURE     ADRS_SENDER
    3.3.3.4.2.2     Allowing Dunning with SAP script Forms
         Use
    You have the possibility to use either SAP script forms or Smart Forms in the dunning procedure. In this transaction you have to specify which forms are used for dunning in this system.
    This table is cross-client. Any changes you make in this table will take effect in all clients of your system.
         Prerequisites
    You have processed the previous mentioned steps.
         Procedure
    1.     Access the activity using one of the following navigation options:
    Transaction code     BF31
    IMG menu     Financial Accounting (NEW)  Financial Accounting Global Settings (New)  Tools  Customer Enhancements  Business Transaction Events  Settings  P/S Function Modules  u2026 of an SAP appl.
    2.     On the Change View Publish & Subscribe BTE: SAP Enhancement: Overview screen, check - and if necessary change - the following entries:
    Field name     Description     User action and values     Notes
    Event     Event (Business Transaction Event)     00001720     this entry already exists
    Country     Ctr (Country ISO Code)     Blank     
    Appl.     Appl. (Application Indicator for BTE)     FI-FI     
    Funct     Function Module     FI_PRINT_DUNNING_NOTICE     this function module needs to be entered if SAPSCRIPT forms should be used
    3.     Choose Save.
    If you want to use Smart Forms then you have to enter for above mentioned event 00001720 function module FI_PRINT_DUNNING_NOTICE_SMARTF. Please be aware that in installation guide and configuration guide the set up for customizing is only made for dunning with SAP script forms and not for dunning with Smart Forms.

  • Infotype to link Personnel Number with Vendor Master Record

    Hi All,
    pls help me what infotype to link Personnel Number with Vendor Master Record in AP module.
    Customer require when Create Employee then system automatic gernerate Vendor Master.
    pls help us.
    Thanks

    Hi,
    PRAA works absolutely fine. I have external number range for vendors.
    There is an option so that you can create HR accounts in vendor accounts
    Path:Accounting> Financial accounting>Travel
    management>Personal-Related Master Data> Create Vendors (tr.code PRAA)
    Look at this description:
    From the HR master data, this program creates a batch input session for
    maintaining person-specific vendor master records.
    The report can process vendor master records as follows:
    o Initial set up (create/add missing company code segment)
    o Uupdate (change completely according to vendor and HR reference)
    o Change (only according to HR master data, for example, name
    Block
    The following infotypes from HR master data are taken into account for
    the key date specified:
    o Actions (Infotype 0000)
    o Organizational Assignment (Infotype 0001)
    o Personal Data (Infotype 0002)
    o Permanent Residence (Infotype 0006 Subtype 1)
    o Bank Details (Infotype 0009 Subtype 0 or 2)
    All other required data is taken from a reference vendor that you can
    specify as a parameter when you start the program. Note that for the
    reference vendor, reference data must exist for all company codes that
    are applicable according to HR master data. Since program RPRAPA00 cannot
    assign vendor master record numbers externally when creating
    vendor master records, you must be sure that the reference vendor is
    assigned to an account group that requires internal number assignment.
    If no house bank is specified in the reference vendor, this is
    determined via feature TRVHB (Implementation guide for 'Travel Expenses'
    -> Transfer to Data Medium Exchange -> Set up Feature for Determining
    House Bank according to the employee's organizational situation.
    The link between the HR employee's master record and the corresponding
    vendor master record is set up by entering the personnel number in the
    company code segment of the vendor master record.
    General program flow
    Program RPRAPA00 creates a sequential work file in the specified
    directory. Ensure that you use a global directory that can be accessed
    by all application servers; a directory is automatically proposed. The
    work file is later transformed into a batch input session by the
    subsequent program RFBIKR00, which is started automatically.
    In test run mode this program delivers information messages which
    document the creation of a batch input session. Since each information
    message must be confirmed manually, the test run should only be
    performed for a small number of personnel numbers.
    In productive run mode, however, the program RFBIKR00 is automatically
    started as a job; the information mentioned above is stored in the job
    log in this case.
    Initial setup of vendor master records
    Corresponding vendor master records are created from the infotypes
    listed above and the non-HR-specific information from the reference
    vendor. During the process, the personnel number is stored in the
    company code segment of the vendor master record. Persons who already
    have a vendor master record with corresponding personnel number are
    rejected in this run.
    If a vendor master record already exists for a personnel number, but
    without a company code segment for the company code in which the
    employee exists at the key date entered, the program adds the required
    company code segment to the vendor master record. You must however
    activate the checkbox "Create new company code segment for existing
    vendor master records".
    The HR master data used is the info type record valid on the key date
    entered.
    Update of vendor master records
    The corresponding vendor master records are updated from the infotypes
    listed above and the non-HR-specific information from the reference
    vendor. Persons who already have a vendor master record with
    corresponding personnel number are rejected in this run. The system uses
    HR master data from the infotype records valid for the key date.
    Change vendor master records according to HR master data
    All HR-specific data is changed in the vendor master records for
    personnel numbers that have changes since the date recorded under '...
    with last change since'. The system uses HR master data again from the
    infotype records valid for the key date specified.
    Block vendor master records
    All vendor master records which correspond with the selected personnel
    numbers are blocked for posting.
    User exits
    For the following situations, two empty routines are supplied in the
    includes RPRAPAEX and RPRAPAEX&H5F001 which you can adapt to your
    requirements.
    o The employee's last name is entered in the sort field in the vendor
    master record. If you do not want this to happen, you can program
    the situation you want in the user exit routine
    'set&H5Fmc&H5Ffield&H5Fby&H5Fuser'.
    o If the address editing in the vendor master record does not suit
    your requirements, it can also be changed. For this purpose you have
    the user exit routine 'set&H5Faddress&H5Fby&H5Fuser'.
    o If you want to assign numbers to the vendor master records to be
    created via external number assignment (for example, vendor master
    record number &H3D personnel number), you can adjust the user exit
    routing 'SET&H5FVENDOR&H5FNO&H5FBY&H5FUSER' (in include RPRAPAEX&H5F00). Note
    that
    the account group of the reference vendor must also have external
    number assignment.
    Note that in each case a thorough knowledge of the programming
    language
    ABAP/4 is necessary.
    Set up vendor master records in a separate system
    The distribution of personnel master data from a HR system to an FI
    system is a prerequisite for creating, changing, and blocking vendor
    master records.
    In the section Master Data Distribution (link to separate HR unit) of
    the ALE IMG, an explanation is given regarding the way in which the
    FI
    System is supplied with the relevant employee data from the HR System
    In the FI System, report RPRAPA00 described here can be used to
    create,
    change, and block vendor master records.
    Other wise try with VPE1 t.code.
    Regards
    Devi

  • Check double tax number for vendor master: message 8B 014

    Is it possible to change message 8B 014 from information  to error message?
    It is the standard message when i active the standard check on duoble tax number in vendor master (customizing t-code BUPA_TAXNUMTYPE)
    Thanks.
    Edited by: Biagio70 on Sep 30, 2011 5:11 PM

    Is it possible to do this  check (double tax ID in vendor master with error message) without ABAP code?
    Thanks.
    B.
    Edited by: Biagio70 on Oct 3, 2011 2:38 PM
    Edited by: Biagio70 on Oct 3, 2011 5:10 PM
    Edited by: Biagio70 on Oct 7, 2011 11:03 AM
    Edited by: Biagio70 on Oct 7, 2011 2:34 PM

  • Works Contract Tax Registration Number In vendor master

    IN SAP where we can  Mantain Works Contract Tax Registration Number In vendor master?

    HI,
    WCT-TDS:could calculate and post the
    WCT using the EWT in 46B onwards but the reports /returns
    are not supported in CIN. You have to develop your own reports /return
    formats for WCT.
    Reg
    Madhu M

  • Tax Number in Vendor Master

    hi all-
    The SAP Help info/documentation shows the purpose of the various (vendor master) tax number fields for a number of countries. I can't find any information for the countries Malaysia, Singapore, Japan and Hong Kong.
    Can someone please help me out with that information for the countries mentioned?
    thx
    Ben

    Hi Ben,
    As per my knowledge there is no tax in Hong Kong (Its tax free zone).
    kishore.

  • Linking personnel number with vendor master data

    Hello,
    When i am created vendor master data,that time Personnel number field is showing "No values found"
    What does it mean?
    Thanks.

    Hi Pari,
    It appears that you are treating employee as vendor. You have not maintajned the personnel number of employees (in HR Module). The personnel number is the only feature within a client which is unique to an employee. You have to enter a personnel number before you can display and maintain an employee's master data and time data.
    Thank You.

  • How to display only last 4 digits of tax number in Vendor Master view MK03

    Dear experts,
    In the Vendor Master view by Purchasing Organization (MK03), is there a way that will allow the user to view only the last four digits of the Vendor tax number?
    For example: Display only **-*-6789 (or blank spaces), instead of 123-45-6789 ?
    Any ideas and insights are much appreciated. Will award points for help.
    -TW

    In your report, just do a substr(ssn,5,4) for your new & improved SSN field to be displayed:
    SELECT First,
    Last,
    SUBSTR(ssn,5,4),
    Phone
    FROM Employees
    Thank you,
    Tony Miller
    Webster, TX

  • Query in IBAN number in vendor master

    hi experts
    Hi
    IBAN number starts with country code + 2 numeric number.
    What is the meaning for 2 digit numeric number , what does it stands for ?
    And how its getting triggered automatically for all vendors, but its not same for all vendor master.
    Can some body explain me in this regard.
    Thanks

    Hi ,
    IBAN is designed specifically for the combination of country, bank account and bank key. Please check the link :-http://en.wikipedia.org/wiki/International_Bank_Account_Number.
    In SAP, the logic to check the correctness of IBAN is built and accordingly it works.
    Regards,
    Pavan

  • Maintain License number for vendor master

    Dear MM Experts,
    I want to maintain the vendor's license no. where to maintain in vendor master
    Please suggest.
    Suggestions will be rewarded.
    Regards,
    Prabhakaran M

    Hi,
    In general Data Account Control you can maintain License number for vendor.
    regards
    rakesh

  • Authorization checks for bank account number in vendor master

    I am trying to find a way to set up authorization checks for specific fields in the vendor master: LFBK-BANKL, LFBK-BANKN, LFBK-EBPP_ACCNAME and LFBK-EBPP_ACCNAME. I am tring to set ip up so that if you have access to transactions FK03 or XK03, you can view vendor master data except for the above fields.
    Does anyone know of a way to accomplish this? Your help will be greatly appreciated.
    Thanks
    -Peru

    HI Peru,
    To supress a field in FK03 u will have to check
    Financial Accounting (New)>Accounts Receivable and Accounts Payable>Vendor Accounts>Master Data>Preparations for Creating Vendor Master Data-->Define Screen Layout per Activity (Vendors)
    in that Display Vendor (Accounting) for FK03 and Display vendor (centrally) for Xk03
    But there bank account no is not there.
    Moreover there r no authorization objects for all the fields that u gave.
    So try creating screen variant/ transaction variant in SHD0.
    Regards,
    Kiran

  • Update IBAN number in vendor master

    Hi Guru's
    i was trying to update vendor 2589 in company code 1001 with IBAN number xxxxxxxx. it was throwing rrror message  “Bank number and bank account number cannot be generated”. how to do it can anybody do let me know the steps
    value points will be assigned
    thanks
    sunitha
    Edited by: sunitha reddy on Apr 15, 2008 2:41 PM

    Hi Sunitha,
    If i understand correctly, you want to enter correct IBAN number in the IBAN field which in turn will populate the respective bank details of the bank.
    If this is what your are looking for.
    Its not possible in SAP, system will not pull the Bank details like Bank Country, Key, Number & account based on the IBAN number.
    Also, every country / bank had got its own unique IBAN number, system will not accept any random number.
    All IBAN details will be stored in Table TIBAN
    Let me know, if i understood your query properly, if not please be clear on what you are looking for.
    Thanks
    Kalyan

  • DUNs number

    Hi Gurus,
    How to maintain DUNs number in vendor master?Is there any field to key in the DUNs no.?
    Besides, Is there any chance to upload to SAP?
    Many thanks in advance.

    Hi
    DUNS Number----related to DUNNING
    Mapping of XI party Duns# to R3 Vendor Codes
    DUNS
    Re: HTTP Adapter and DUNS scheme - possible bug ?
    Please refer the below links for reference.
    http://en.wikipedia.org/wiki/European_Article_Number
    http://en.wikipedia.org/wiki/DUNS_NUMBER
    https://www.sdn.sap.com/irj/servlet/prt/portal/prtroot/docs/library/uuid/40acc490-0201-0010-be97-bebc4e7eaabf (Refer frm Pg:11)
    Hope ths helps
    Please reward points
    Sunil

  • Additional Field in Vendor Master for PF Number and ESI Number

    Hi Experts,
    I have to maintain ESI Number and PF Number in Vendor Master, but no such field is available in vendor master or J1ID. Kindly suggest me the fields which I can use. We have to capture the ESI and PF Number of the vendor in case He is a subcontractor to us.
    Regards
    GR

    Hi
    You can looks for customer fields (ABAP developed fields). You have standard development available in SAP. See the below config path. It will help you and your abaper
    spro>logistics General->bussiness partner->vendors->control--->adoption of customer's own master data fields.
    With the help of help text available there you and your abaper can develop it with flow logic easily with minimum effort.
    Hope it helps you
    Regards
    Antony

  • How run app for customers and how to send dunning notice to vendors

    Hi experts.
    Can any one help on following issue with example scenarios.
    how run app for customers and how to send dunning notice to vendors

    Hi,dear
    you should enter customer account numbers in f110 for payment receiving from customer, and assign dunning procedure to vendor master record and process the dunning to vendor by using f150.
    regards,
    nagesh.

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