Employee vendor expense vouchers finance

Hi All,
We have 1500 employee vendor expense vouchers which we want to upload in sap through fast entry screen. These expense vouchers involve one GL account and 1500 employee vendor accounts.
How it is possible to upload these data in sap through Fast Entry Screen provided by SAP ?
Please provide procedure and  Tcode to use for this ..
regards
AMit

Hi
Unfortunately, there is no transaction which would allow fast entry for Vendor line item. You need to do this through LSMW or ECATT. If it is a regular transaction, you can also create a BDC for the same.
Thanks & Regards
Sanil K Bhandari

Similar Messages

  • Payment to Employee - vendor, for expenses

    Dear friends,
    Generally speaking in any organisation it is common to pay certain amount to Employees to meet particular expenses like printing and stationary, or any thing (either in advance or without using the word advance for expenses)...
    here also i am facing the same. My client paying money without "generating Payment request" - he pay directly to the employee, then entry will be ...
    Printing & Stationary Account -- Debit
    Cash Account -- Credit
    But here no Employee name is coming in to picture. So at the end of the month, we have no information to track how much money is given to "X - employee" to meet Printing & Stationary Exp. Is there any possibility to track these in Cash Journal?
    You may say, Create Employee Vendor... even see the entry here no employee name is generating at the time of transaction, since no payment request is generating.
    (If payment request is generated then the entry will be ...
    Printing & Stationay A/c -- Dr
       To X A/c
    at the time of payment ---
    X A/c --- Dr
      To Cash Account.... Is it?)
    Then without payment request how this can be tracked...
    -- How much paid for Printing & Stationary to an Employee (Particular Exp. Vs Employee)
    -- How much paid to employee to meet Printing & Stationary, Postage, etc..,, (Employee Vs All the expeses)
    Please guid me
    Regards:
    Dasu

    Hi
    In Transaction FBCJ,there are four types of entries u posted
    Expnses A/c
    Vendor payment
    Customer Receipt
    Cash withdraw from bank
    in case of expesnes , exp account created like postage,printing, telephone etc.
    same in otehr case
    so when u post the expneses to vendor
    then in fbcj
    in business transaction field select Priniting & stationary
    then amount suppose 5000
    then recept name - suppose vendor name
    thenin text field - enter narration
    then in vendor - select vendor
    and if cost center is manadatory then selct cost center
    after this u save or post the document
    Note : when u save entry not show,it show ywellow icon
    but when u post it show green
    then docuble clcik on transaction
    u see the entry
    Printing & Statiory dr
    Vendor cr
    and when u pay the vendor
    then selct in bysiness transaction vendor payment
    then enter amount
    receipt name , text
    and then selct vendor
    then u post
    after this entry generated
    Vendor a/c dr
    to cash Cr
    try this , this is helpful for u
    if any query, revert back
    Regards
    Roobal

  • Employee Vendor Account posting

    hi all.
    i have to configure the Vendor Accounts posting.
    there are few wage types, that need to be posted to employee vendors in FI.
    If the following wage types are to be posted, please explain me the following one.
    wage type : 1122 personal expenses
    wage type :1123 Business expenses
    symbolic account :1122
    symbolic account : 1123
    i have used the same for both wage types and symbolic accounts.
    employee vendor numbers : 50001, 50002, 50003, 50004.
    please let me know whether, under the node of Posting in IMG, should i take all these vendors and link the symbolic account or any other porcedure.like shown below.
    1122-50001
    1122-50002
    1122-50003
    1122-50004
    1123-50001
    1123-50002
    1123-50003
    1123-50004
    is this how i should link all the vendor to the concerned Symbolic accounts.
    please give me a solution. .
    waiting for your reply
    prathap

    hi all .
    i am really thankful to all of you.
    i have Basic, HRA, Transportation, Food allowance.
    for the month April, i have made the test data and confirmed that the G/L accounts are readily available in FI.there is no problem in posting.
    but when i tried to post the salary advance payment to vendor account, it is throwing error.
    i have configured, as follows
    created Symbolic account with the specification K
    assigned the symbolic account to the wage type
    assigned *0002 to the symbolic account.
    when i tried to post to accounts, it is throwing the error. i am sure that the error is only because of this.
    i have cross checked whether the vendor account is created in FI , which is available.
    please tell me apart from this configuration, any thing is missing.
    please help me.
    prathap

  • Employee Travel Expense Payments via ACH

    Hello,
    Currently we use SAP's T&E module and post the costs via an employee vendor record and then subsequently pay the vendor.
    Currently this is done by check.
    What we would like to do is pay via ACH and increase the frequency of payments.
    The issue or concern is the storage of the employee bank info.
    Has anyone come across this scenario and have any guidance?
    1) As a first option we would look enter the bank info on the vendor master. 
    Technically, if we add the employee bank info to the employee vendor record this would work just fine, but the security on vendor bank master could be an issue.  Does anyone have any insight or experience on 'encrypting' or securing this bank data.
    Thanks for any and all input.
    Rob C.

    Hi,
    Let me explain you from the beginning.
    1. Create Travel Expense Type ( The one which is visible in PR05): follow the path  - Financial Accounting (New) --> Travel Management > Travel Expenses > Master Data > Travel Expense Types > Create Travel Expense Types for Individual Receipts.
    Create the required travel expenses there.
    2. Assign wage type for the travel expense types created: follow the path - Financial Accounting (New) --> Travel Management > Travel Expenses > Master Data > Wage Types for Interfaces > Assign Wage Types to Travel Expense Types for Individual Receipts
    when you go into this path, you will find the travel expense types which you have created in the earlier step. Select the expense type for which you need to assign the wage type and click the magnifier icon which is available in the left top. You can assign the wage type then.
    3. Assign symbolic account for the wage type created: follow the path - Financial Accounting (New) --> Travel Management > Travel Expenses > Transfer to Accounting > Define Assignment of Wage Type to Symbolic Account.
    Assign a two character symbolic account with a prefix "+".
    4. Assign GL accounts for the symbolic account assigned: follow the path- Financial Accounting (New) --> Travel Management > Travel Expenses > Transfer to Accounting > Conversion of Symbolic Account to Expense Account.
    Double Click HRT there, it will ask for chart of accounts, give your chart of accounts and then press enter. In the screen, select new entries, enter the symbolic account and its corresponding GL account.
    note that instead of entering the prefix "+", you have to enter 1 as prefix here.
    Save your entries.
    As for as employee vendors is concerned, please create a vendor account in FK01 and then assign the personnel number of the employee in the vendor master record. The system will automatically pick up the employee vendor number with its personnel number.
    Trust this clarifies.
    Best Regards,
    Raj

  • Create employee vendor to post net salary

    Hi Experts,
    We have a client requirement where they want to post employee salary net salary to employee vendor. Currently i have configured employee salary to go to balance sheet account.
    Can someone please tell me how to create employee vendor in HR and then post net salary to employee vendor account so the HR and finance can see employee wise ledger.
    Really appreciate any help.
    Regards,
    Jyoti

    Jyoti,
    If you will refer your message, it is cleared that vendor of this PERNR is not created, In FI end, for every pernr they create vendor, so you please coordiante with FI people to resolve the issue,
    This is a very simply issue, dont know why your FI people is treating like.
    1. No creditor with the search key 1000 LFB1 PERNR 00100005 has been found
    2. No vendor found for this selection
    3. Required field GL_ACCOUNT was not transferred in parameter ACCOUNTGL
    4. Error in document: HRPAY 0000000102 CLNTAVD510
    5. No data was transferred in parameter ACCOUNTPAYABLE
    Further read the doc. of Vendor accuount, you will get more clarity, Please go thru the same and discuss with your FI people
    There are two kinds of vendor accounts available:
    Fixed vendor accounts: Employee grouping for account determination offers the most precise means of control for posting to fixed vendor accounts.
    Employee vendor accounts: Posting to employee vendor accounts enables posting for a specific personnel number.
    In this step, you make entries in table T030 for the assignment of vendor accounts to symbolic accounts.
    Example
    Fixed vendor account
    You want to deduct dues to various unions from the employees in your enterprise. For each union, you have set up a specific wage type for dues and a specific symbolic account. In this step, you assign a fixed vendor account to each of these symbolic accounts.
    Employee vendor account
    You want to post dues to a different vendor account for each employee. To this effect, you have created a symbolic account for all employees. In this step, you specify how the corresponding employee vendor accounts are determined.
    Requirements
    You have created the required vendor accounts in Financial Accounting.
    You have carried out the step Define Symbolic Accounts. In that step, you created symbolic accounts with the relevant account assignment types (KF for fixed vendor accounts, K for personal vendor accounts). In that same step, you flagged the indicator EG-depend  for symbolic accounts to which you want to post in line with the Employee grouping for account determination.
    If you want to post to employee vendor accounts, you have entered the relevant personnel number in one of the following fields in the vendor master data of Financial Accounting. We recommend that you use the Personnel number field. If you use another field, you must enter the personnel number with leading zeros.
    Personnel number
    Search term
    Telephone 2
    Data line
    Teletext number
    Standard settings
    There are no standard settings for posting to vendor accounts. If, in the step Define Symbolic Accounts, you have not created any symbolic accounts with the account types KF or K, you do not have to carry out the step Assign Vendor Accounts.
    Activities
    1. Enter the required chart of accounts.
    2. To make settings for the posting procedure Personnel posting to vendors (HRK), choose Rules
    3. Choose Posting key. Enter the posting key for postings to vendor accounts or copy the default values (21 for debit posting and 31 for credit postings).
    4. Choose Accounts. Make the corresponding entries in the table T030.
    a) If you want to assign a fixed vendor account to a symbolic account, and if required, an employee grouping, enter the number of the vendor account in the Acco column.
    b) If you want to assign an employee vendor account to a symbolic account, and, if required a employee grouping, enter the relevant key (see table below) in the Acco column.
    Personnel number in field (Vendor master data) Entry in the Account column (T030)
    Personnel number    *0002
    Search term    *0001
    Telephone 2    *0003
    Data line    *0004
    Teletext number    *0005

  • Employee Travel & Expense Reporting

    I am just starting to do project prep and try to finalize scope.  I know there is a module for employee expense reports under HR but HR is not in scope at the first phase.
    Does anyone know of any other way to put in some functionality to track, record and interface into A/P for direct deposits to employee account without having the actual T&E subset?
    Wayne

    Hi,
    One of the ways to go about it is to use A/P functionality for this. You may create a separate account group for employees with separate number range as well & separate recon ledger.You can go on creating employee vendors who claim reimbursements. Also you can create separate GLs (e.g. Employee Travel Exp etc.) where you can post all the expenses. Payment of employee claims can be through normal A/P payment prog.
    Hope this helps.
    regards,
    Sameer
    Edited by: sameert18 on Feb 26, 2010 6:03 AM

  • Automatic Creation of Employee Vendor record when hired in HR

    Hi Gurus,
    Any assistance in Automatic creation of Employee vendor record when the employee is hired in HR master data.
    Thanks in Advance
    BLITZZ

    Hi,
    Use the t.code: PRAA. Give reference to an existing employee vendor.
    Or, you can also create a batch job that runs this daily. Before that you need to create a reference employee vendor and input the most common fields in it (like, Recon Account, Payment method, etc.).
    Regards,
    Kiron Kumar T.

  • Problem in Automatic employee - vendor creation(PRAA)

    Hi Experts,
    Based on the Reference vendor company code Employee vendor need to be created. For single company code its working fine, But for multiple company code it is taking all the employees and checking employee  company code and reference vendor company code. Any one suggest me how to do for multiple company code.
    Thanks,
    Naveen.

    Hi,
    Issue has been solved with Employee number and company code input by adding company code in further selection....
    Thank You.
    Cheers,
    Naveen.

  • Employee Vendor Address Issue

    Hello Guys,
    We have issue with Employee vendor. We send employees as vendor to some non-HCM systems. When we are sending one of the employee vendor from HCM system to non HCM system. It sends vendor data and throws iDoc error which is from Function module ADDR_POSTAL_CODE_CHECK.
    It is creating address with one extra entry in POST_CODE2 field. So IDoc is getting failed. Can someone help here? Not sure from where it is creating that extra entry?
    Thanks!

    Hi Sieg,
    Thanks for your reply.
    Company has given Forex advance to employee via third party vendor
    So, We need to debit the amount into Employee Vendor and Credit into Third Party Vendor
    For Ex: Third Party Vendor is Thomas Cook (Forex Provider)
    Please guide me how to post the above entry in Standard.
    Regards
    Shaik

  • Employee Vendor and Third Party Vendor Posting Issue

    Dear Experts,
    I have an issue while Posting of Employee Vendor and Third Party Vendor.
    In T706K table, maintained symbolic account offset entry MJ90 Wage Type but its asking for Symbolic Exp account too. Otherwise, while posting its says Trip has no postable entries.
    I should get entry in FB03 as mentioned below
    Employee Vendor   (Dr)
    Service Tax            (Dr)
    Third Party Vendor  (Cr)
    Awaiting for quick response.
    Regards
    Shaik

    Hi Sieg,
    Thanks for your reply.
    Company has given Forex advance to employee via third party vendor
    So, We need to debit the amount into Employee Vendor and Credit into Third Party Vendor
    For Ex: Third Party Vendor is Thomas Cook (Forex Provider)
    Please guide me how to post the above entry in Standard.
    Regards
    Shaik

  • Employee Vendor creation - PRAA

    Hi Experts,
    Please can anyone guide me for how we can create Employee vendor by using PRAA.
    I am trying to create it through PRAA but job is not getting crated in SM35.
    Thanks in advance.
    Priyanka Dhuke

    Hi Priyanka,
    As per the documentation in SE38 on program RPRAPA00, the system creates vendor records by reading the infotypes:
    Actions (Infotype 0000)
    Organizational Assignment (Infotype 0001)
    Personal Data (Infotype 0002)
    Permanent Residence (Infotype 0006 Subtype 1)
    Bank Details (Infotype 0009 Subtype 0 or 2)
    The Communication (Infotype 0105) where the email address is stored is not read. Even if the 0105 was read and was able to populate field SMTP_ADDR with an email address in the vendor master record it is actually not possible to email remittance/payment advices to vendors after running the payment run (F110) or creating the DME file. It is only possible to fax or print payment advices. An Alternative suggestion to other customer is to used the User Exit in note 570023 and 407827.
    407827 - RFFO: mail payment advice notes
    570023 - User exits for the generation of vendors with RPRAPA00
    You can use the Interface SAMPLE_PROCESS_00002040 in note 407827.
    Hope this help
    Best regards
    Sarah

  • Employee vendor account posting to facilitate cheque printing

    Hi,
    Can someone please help me with the process of posting net pay amount to individual employee vendor account from payroll. We need to post to individual vendor account to facilitate cheque printing.
    Quick help would be appreciated.
    Regards,
    DDutta

    Dear D dutta
    You would first need to have the employees created as vendors in the FI AP vendor master.
    From the HR side ,spro,you need to first create the symbolic account for the net pay .
    You need to also then have this symbolic account mapped to Assign vendor accounts.
    Then in the posting to charecteristics ,you need to have the wage type mapped with the symbolic account
    This will then allow to post the employee net pay asa credit in the vendor accounts which you can the use for check printing thru F110.
    Hope this helps.
    Regards
    Ramana

  • Employee Vendor Account Mismatch

    Hi,
    Wrong Employee Vendor accounts have been crated. For Ex,
    Employee  Vendor A/c
    101 - Mr.B            100 - Mr. A
    102 - Mr.C            101 - Mr.B
    103 - Mr.D            102 - Mr.C (code}
    Actually it should like,
    Employee  Vendor A/c
    101 - Mr.B            100 - Mr. B
    102 - Mr.C            101 - Mr.C
    103 - Mr.D            102 - Mr.D (code}
    I have changed the names in Vendor A/cs as under
    Vendor A/c 101 to Mr. C
    Vendor A/c 102 to Mr. D etc.
    Finally Employee 103 left who doesn't have any vendor a/c.
    While trying to create vendor a/c by PRAA, it pointed out that vendor account is already created.
    Actually it pointed out Vendor A/c No: 102 (I came to know this when I tried to take update run in PRAA)
    How to create vendor a/c for employee 103 now ?

    Dear D dutta
    You would first need to have the employees created as vendors in the FI AP vendor master.
    From the HR side ,spro,you need to first create the symbolic account for the net pay .
    You need to also then have this symbolic account mapped to Assign vendor accounts.
    Then in the posting to charecteristics ,you need to have the wage type mapped with the symbolic account
    This will then allow to post the employee net pay asa credit in the vendor accounts which you can the use for check printing thru F110.
    Hope this helps.
    Regards
    Ramana

  • Employee vendor / misc vendor lsmw template.

    Dear pandits,
    Greetings,
    what are the main fields for maintaing lsmw template for creating employee vendor and misc or one time vendor.
    thanks
    great day
    v balajee

    thanks manish biya,
    It is asking partner No. in partner function screen and not allowing to proceed further.
    thanks
    v balajee

  • Employee Vendor Opening Balances uploand

    Dear All,
    Could you  please tell me the procedure Employee Vendor opening balances uploading procedure
    Acutullay this is a HCM-Fi for that we need to uplaond employee individual Opening balaneces.
    Reg,
    Sudhan

    Hi All,
    Thanks for ur suggestions
    But i need more clarity on this legacy data opening balances uploanding Emp.vendors and customers.
    Step by step procedure
    Thanks
    Sudhan

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