Error In Transaction F-44 for Foreign Vendor Payment

Hi Experts,
User is getting the Error In Transaction F-44 (G/L account 14281001 xxxx does not exit) while doing Vendor Payment to Foreign Vendors.
When I checked in Vendor Master Data, Reconcilliation account is maintained for all Foreign(other) & Foreign(Intercompany) Vendors.
The GL 14281001 is maintain in the account determination configuration for other Foreign Vendors.
User is getting this Error After successful FF67 transaction Process.
Please advice.

Hi Amitash,
GL is created @ COA level & not mark for deletion. This GL is not created in Company code. I discussed with user she was saying
F-44 transaction is booked a realized gain/loss while a foreign vendor invoice clearing vs payment. Normally this realized gain/loss must be booked directly to the foreign vendor account which is linked to GL XXXXXXXX for all IC foreign vendors and linked to GL YYYYYYYY for all other foreign vendors .
It will be not correct to book a foreign vendor realized gain/loss to a separate account therefore a new GL 14281001 should not be created in comp code XXXX,  instead of incorrect GL14281001 SAP must select either GL XXXXXXXX for IC foreign vendors or GL YYYYYYYY for all other foreign vendors.

Similar Messages

  • Excise details for foreign vendors, Error: 8I565

    Hi Experts,
    After upgrade from 4.7 to ECC 6.0 system throwing error message 8I565: Vendor Excise details are not maintained.
    Foreign vendors do not have excise details, Is there any config/ SAP note available to ovecome this issue?
    Experts Kindly respond.
    Regards
    NDS

    Hi Jeyakanthan,
    I checked that SAP Note,  that is already there in ECC 6.0 EHP4.
    This Note checks the vendors excise fields in Vendor master excise details  and if found balnk  throws the error message.
    This note was not there in 4.7 so no error message was coming in 4.7
    This SAP Note makes it necessary to enter a dummy data in vendor excise details.
    But my client does not want to enter any dummy details in these vendor excise fields for foreign vendors.
    Reg
    NDS

  • How to app run for foreign vendors and customers please tell the steps

    hai every body this is raj
    i am asking how to create the foreign vendors and how to apprun for foriegn vendors please tell the steps
    and another questions is how to run app for customers t

    Lets say your company code is in country IN.  Every vendor you create (using XK01, lets say) with a country other than IN is a foreign vendor for your company code.  To enable APP for foreign vendors, make sure you check the checkbox 'Foreign Business Partner Allowed' in 'Payment method in company code' in T Code FBZP.  If the vendor invoice is in a foreign currency, make sure you include that currency as permitted currency for that payment method.
    To run APP for customers, your 'Payment method in country' in FBZP must be for incoming payment.

  • How to set up wire transfer for foreign vendor?

    Hi all,
    Prior to the question I posted, I guess my question is : what configuration steps need to be done in order to set up a wire transfer for foreign vendor?
    please advise.

    Hi Nancy,
    You need to have a Bank Account which is setup to issue payments in foriegn currency.
    Apart from that all other steps remain the same as to doing a domestic wire.
    Provide points if found usefull.
    Thanks,
    Praveen

  • Payment program for foreign vendors

    Hi Experts,
    Can some body shed light on this..
    Can we run the payment program for foreign vendors in their currency.. if soo what r the settings needed.Pls send in this mail iD ([email protected])
    thanks in advance,
    R.Manigandan

    Hi,
    Yes we can run the payment program for foreign vendors in their currency.
    In FBZP double click on Pment Methods in Country
    Select your country and double click on Currencies allowed
    You can specify the foreign currency here. SAVE and Back
    Double click on Pment Methods in Company Code
    Double click on the company code
    and Tick all the three check boxes for foreign payments and foreign currency payments. SAVE
    This is the required config apart from the general configuration.
    Hope it helps
    Regards
    Jyostna

  • Check format for Foreign Vendor

    Hi guys,
    When we need to pay a foreign vendor thru check, the currecny format and date format defaulted from that vendors's country' and most of the time its different than US format.
    I am using alternate payee to cut  the check for foreign vendors in US currency ,date format.Is there any other way we could achieve this without creating another master record for foreign vendor??
    Regards
    Shaun

    HEllo Shaun,
    I believe you can add some source code to your form to change the format of the currency and date depending on the country.
    Regards,
    Renan

  • Set up wire transfer for foreign vendor

    Hi all,
    anyone knows how to set up wire transfer for foreign vendor? please advise.

    Hi Nancy,
    You need to have a Bank Account which is setup to issue payments in foriegn currency.
    Apart from that all other steps remain the same as to doing a domestic wire.
    Provide points if found usefull.
    Thanks,
    Praveen

  • Cheque Amounts for Foreign Vendors

    Hi All,
    My cheques for canadian vendors are printing fine, but my cheque amounts for foreign vendors have the wrong format.
    Eg.: 1,317,150.00     is printing      1.317.150,00   (The commas are being replaced by periods and vice versa).
    Amounts for both Canadian and foreign vendors are in CAD$.
    How can I set the format to display correctly? Points will be awared generously!!
    Thanks,
    Deki

    I didn't change any parameters. They were set correctly to begin with. Any other ways I can fix this?
    Thanks,
    Deki

  • CIN tab for foreign vendors

    Hello experts,
    Is it possible to activate CIN tab for foreign vendors also?
    We have a requirement in our project.
    Please reply ASAP.
    Points assured.
    Thanks,
    Senthil

    Hi
    Go to OMT3E and left hand side, there will be "User screen reference". Double click and add your user id and enter Sref.user as IN. Then it comes for all the vendors.
    Regards
    Antony

  • Getting for foreign vendor for getting excise capture

    Dear all
    is the any customization for capturing excise deatil for foreign, CIN is only for local or indian vendor, i m making import po where i have get cenvat for cvd, with JIED for foreign vendor how could i do.
    regard
    nabil

    Hi sayednabil ,
    First understand the concept.
    Import PO you are procuring material from Import vendor thats all. when you see the material vendor invoice only material price will be there.
    No link with Custom /Excise with Import vendor.
    Custom & import duties all when the material reaching the indian orgin/sea.
    You have to create vendor for each custom or fright & C&F vendors.
    In Po condition type  u are maintain all the condition type with vendor number.
    subsequently  GR& payment  will happpen.
    SAM

  • Spool creation for each vendor/ payment document in program RFFOUS_C

    Hi experts,
    Requirement is to create spool for each vendor/payment document in RFFOUS_C.
    What is presently happening is only one spool is created for all the payment document numbers.
    I need to create separate spool for each cheque and remittance advice based on the payment document.
    Ex:I have 2 vendors with one cheque and remittance advice each.The first cheque and remittance advice of vendor 1 should be created in spool 1 and the second cheque and remittance advice of vendor 2 should be created in spool 2.
    Please suggest your inputs as to what needs to be changed in the program RFFOUS_C or do we need some configuration to achieve the same.
    Regards,
    Joby

    HI,
    Try to see if the check is register on FCHN transaction. So, you will be able to reprint the check using FHC7 transaction.
    Let me know your comments
    Daniel

  • Not able to post Realized Gain/Loss GL acct during foreign vendor payment

    Dear Experts.
    1.  When I make a vendor payment by using F-53 for USD payment for foreign vendor.  I am supposed to get Realised Gain /Loss account for the variation on payment date.
    2.  My local currency is INR and foreign Currency is USD.
    3.  DIrect quote and indirect quote maintained for INR and USD.
    4.  During payment I have selected USD currency and given the conversion rate.
    5.  When I paid to vendor, realzied amount did not capture.
    My configuration for Foreign currency valuation is as follows:
    1.  T. COde OBA1.  and KDB - Here I maintained unrealized gain and loss account
    2.  T. COde OBA1.  and KDF - Here I maintained Realized gain and loss and unrealized loss and gain along with balance sheet adjustment account for foreign vendor reconciliation account.
    Please suggest me for this issue.
    Best Regards
    Surya

    Hai Surya,
    Check the OBA7 t.code for doc type  whatever ur using like KZ in that check the Exchange rate type specified or not like M,G, or B based on ur OB08 t.code settings
    Regards
    Madhu I

  • Problem with MR90 transaction: printing invoice for the vendor

    Hi Friends:
        I've got a  ticket & I need your help to resolve it.
    When the user is paying the invoice, she then goes to MR90 to print the invoice to sent it to the vendor and there is no amount showing.
    An invoice is paid via MRDC ( automtic invoicing). TCode MIR4 - 5105616046 to see vendor invoice in reference to a Purchase - planned freight costs. If you click on follow0on Documents you will see the posting in FI. So in MR90 - processing mode 2 - Repeat processing, the amount of this invoice should be pick up and it is not.....
    Why it is not pick up? There must be a rule somewhere. ..
    In the program of MR90 - transport cost - I want to know where the amount is pick up and is there a condition for it to be display ( date, hour, etc. in regards to something else).
    Can anyone help me on this....................What kind of settings should be done to get this picked...
    Friends..plz help me on urgent basis....
    Suitable points will be rewarded....
    Regards:
    Gaurav

    Dear
    Provide the exemption dates for the vendor, whenever you need to post the TDS delete the dates and post the Invoice with TDS.
    Regards,
    Dharma Rao.

  • Foreign Vendor payment

    I entered an invoice from a foreign vendor who billed in foreign currency but wants to get paid in US dollar by bank transfer. The system correctly converted the foreign currency to US dollar. But in automatic payment run, it did not pay the vendor. The job log displayed the error "payment with currency BDT, payment method:no valid payment procedure". It also displayed "payment is not possible, beacuse of reported error"  Payment proposal list shows " Error 006 No valid payment method found"
    I am not sure what I am doing wrong.  Your suggestion will

    Hi Rashid,
    Check in transaction FBZP-> payment methods in company code-> select the payment method you are using , check the foreign payments/foreign currency payment
    select all the options as per your requirements
    Assign points if useful
    Regards
    Genie

  • 1099 payments are not combined for same vendor payments

    Hi All
    I have a question on 1099 reporting.
    My issue is that we are running the report in transaction code ‘s_p00_07000134’ separately by company code because all these company codes have separate tax ids except few of them which have same tax ids. My client wants to run them (ccodes with same tax ids) together and if there is a same vendor  on these company codes . They are being shown on the report separately and the 1099 forms are printing separately.
    Can’t the system combine the payments for same vendors under different company codes with same tax ids run together/
    Please help me…..

    Hello,
    Did you get the answer for this problem?  Could you please explain how did you resolve it?
    Thanks

Maybe you are looking for

  • Is there a way to remove Linen background in Safari 5.1?

    Has anyone found a resource to edit that can replace the inconsistent (and IMO rather ugly) linen background in the reading list of Safari 5.1 with something that matches the rest of the app?

  • How do I sync my HP printer to air print?

    When I purchased my iMac last year Apple sent me an HP printer I have not been able to configure the printer so that I can print from my iPhone or my iPad How do I do this?

  • What is the best way to replay a slide?

    What is the best way to replay a slide? The 'Rewind' button in the default player skins restarts the course from the begining. Is there a way to set a custom button to replay a slide without restarting the course?

  • Virus

    Do I have virus in my ipad mini?

  • Listener TNS-01153 error in oracle 10g

    Hi, i am getting this error tns-01153 on checking listener status. i started listener it was successful with out any errors, but on lnsrctl status LSNRCTL for Linux: Version 10.2.0.4.0 - Production on 06-APR-2009 14:54:53 Copyright (c) 1991, 2007, Or