Error in Vendor Automatic clearing

Hi
I did F.13 (automatic clearing for vendor)
I entered company code, fiscal year, ticked select vendor and gave posting date as 01.09.2010 and test run.
When i executed, its telling,
Account was selected, but it is not entered in table TF123. After this it gave vendor master number.
What may be the reason for not clearing automatically

Hi,
In OB74, you need to maintain the settings for the reconciliation account number of your vendor.
If you want to clear the open items in F.13 on account level, you can leave all clearing creterias as blank. The system will then group the items based on vendor number and then try to clear if the total for that vendor is zero.
Regards,
Gaurav

Similar Messages

  • Error when using automatic clearing (F.13)with foreign currency valuation.

    Hello all
    below is our problem, please suggest us a solution
    We are experiencing a problem when running the automatic clearing in SAP. Somehow, the system seems to clear (with no reason) open items created with the revaluation of foreign currency.
    Let's say that we run the valuation of open items in foreign currency for December 31, and we run the program to post the reverse entry as of  January 1 of the next year. As a result of this valuation, the system calculates a loss of 10 euros. Therefore, it posts a document with a debit entry of 10 into the Loss account, and a credit of 10 in to account where the valuation was carried out. This document has a posting date of December 31. The batch program also creates the reversing entry, this time a credit entry into the Loss account, and a debit into the original account.
    If now, we try to run the automatic clearing (F,13) on December 31 for those accounts, the system will create (automatically) a document on December 31, similar to the reversing entry that the valuation created, clearing at the same time, the first document that the valuation originally created.
    The final result then is that the valuation makes a posting, and we end up having two reversing entries. Does it make sense?
    In our scenario in the system P70, for MX10, we have a foreign currency valuation run on December 31st, which posted the document numbers:
    1)  5100004579/2008, for a total of  0 euros, and 240,483.17 MXN. Credit to account 11081108 Finavigate cash receipt bank collect.CMG MXN.Debit to account 18601000 Losses f.foreign curr.valuation on financial trans
    2) In the same batch, the system also books a reversing entry (doc 5100000042/2009) with posting date 01.01.2009 with exactly the same opposite entries as in the previous document.
    3) After this, we run the automatic clearing with posting date 31.12.2008, and now, the system creates automatically the document 5000003236/2008, which clear the original document, 5100004579.
    The final result, as you can see, it's out of balance, there is an additional document that we need to reverse.
    Thanks in advance
    sujatha

    To my knowledge you get do two things:
    1. In F.13 transaction don't include both the GL accounts where the Dr. and Cr. posting from the valuation run have taken place. With this the system won't find the matching entry.
    2. If you want to use all the GL accounts in F.13, then check the clearing procedure configuration and make suitable changes.
    With the info provided, this is the only thing I can suggest.
    Regards,
    ~Vishal.

  • AUTOMATIC CLEARING FOR RECEIPTS실행시 PERIOD NOT OPEN ERROR

    제품 : FIN_AR
    작성날짜 : 2004-05-19
    AUTOMATIC CLEARING FOR RECEIPTS실행시 PERIOD NOT OPEN ERROR
    ========================================================
    Problem Description
    AR에서 Receipt이 "Remitted" 상태임에도
    "Automatic Clearing for Receipts"프로그램 실행시 아래와 같은
    Error가 발생하면서 처리되지 않음
    ARZACS module: Automatic Clearing for Receipts
    MSG MSG-01000: DEBUG: Before_Report_Procs.Check_GL_Date.
    MSG MSG-05000: DEBUG: GL_Date not within open period.
    ERR REP-1401: 'beforereport': Fatal PL/SQL error occurred.
    ORA-00000: normal, successful completion
    Solution Description
    Period가 open되어 있지 않아 발생하는 것으로,아래의 실제 Test과정을
    참조.
    Automatic Clearing Test step.
    1. Trx 입력
    GL_DATE 09-JAN-2004
    2. Receipt입력
    GL_DATE 09-JAN-2004
    Maturity DATE 15-JAN-2004
    (Payment Method는 Clearance Method가 "by Automatic Clearing"을 가진
    Receipt Class를 입력)
    3. Remittance 실행
    Receipts -> Remittances 에서 Auto Create
    4. Clearing실행
    Receipts -> Clear/Risk Eliminate에서
    "Automatic Clearing for Receipts" 실행
    Parameter중 Clear Date 11-JAN-2004로 입력
    5. 해당 Receipt이 Clearing안됨.
    6. 다시 Clearing실행
    "Automatic Clearing for Receipts" 실행시
    Parameter중 Clear Date 16-JAN-2004로 입력
    7. 해당 Receipt이 Clearing됨.
    위의 Test결과에서 알 수 있듯이,
    Clear Date는 Maturity Date보다 이후여야 함을 알 수 있다.
    또한, Maturity Date가 같은 Period내가 아닌 그 다음 Period, 예를들어 2월15일이라고
    해도 Clear Date를 2월 15일 이후로 입력해야만 해당 Receipt이 Clearing되었다.

    hi,
    pl go to OB52 and open the FI posting period for account type S.
    you will find either 1000 or 0001 as the field status variant for which you can select the acccoutn type S. You need to know what is the field status variant for your comp code. You find out by going to OBY6 ( Comp code global settings ).
    at OB52 you can maintain this way.
    1000 S zzzzzzzzz 1 2008 12  2008 13 2008 16 2008.
    regards
    sadhu kishore

  • Problem abt automatic clearing for vendor

    Dear all,
    when we do automatic clearing for vendor with F.13, the system promoted that " Company code blocked by payment program (table T042X)"
    whatelse need to do? Anyone know that?
    Thanks in advance.
    kathy

    Hi All,
    I am facing exactly the same problem.
    I checked the table T042X, but the payment run which is mentioned there, is not visible in the drop-down menu for F110. May be it has been marked for deletion...
    Let me know if there is some way to delete such Payment runs which are marked for deletion...May be that will slove the error in F.13.

  • Vendor account clearing - Error message F5354

    Hi All,
    I am trying to do Vendor account clearing through transaction code F-44, when I am getting the error message Message no. F5354
    "Account "1000001" in company code "1000" is marked as a reconciliation account for account type "K" and cannot therefore be directly posted to".
    Account 1000001 is a reconciliation account defined in the vendor. The documents which I am trying to clear do not have any special GL indicators.
    Please can anyone tell me why I am getting this message
    Thanks in advance.
    Edited by: mgokhale on Aug 17, 2010 8:20 AM

    Hi,
    Usually you have to give Adj. GL for automatic exchange rate clearing differences.
    Please change the account in OBA1 transaction under account key KDF.
    Here you have given reconciliation account for B/s account which can't possible for direct postings.
    Please select recon account and double click, there you will find the account determination GL accounts.
    Rgds
    Murali. N

  • Automatic clearing Error

    Hi guys,
    I have an issue where the user is running F.13.
    He is giving a document number to clear and GR/IR clearing accounts in the select G/L account field.
    The output generated is not selecting any items(vendors,customers or g/l accs).
    The output says no clearing procedures are carried out in the error log.
    The user says he wants to clear the GR/IR account and he is asking why he is not able to do that.
    I am pretty new to F.13.
    can anyone please explain.
    thanks
    srikanth.

    Hi
    Check the below mentioned all settings are done before you do F.13.
    1) PREPARE AUTOMATIC CLEARING , PATH--Financial Accounting > General Ledger Accounting >Business Transaction >Open Item clearing >Prepare Automatic Clearing.
    In this activity you enter the criteria for grouping an account's open items for automatic clearing. The clearing program clears the open items that are grouped together if their total balance equals zero in local and foreign currency.
    You must enter the following standard criteria:
    account type
    account number or a number interval
    2) Define Tolerance Group For G/L Posting.
    3) Create Accounts For Clearing Differences.
    ( For G/L account clearing, tolerance groups define the limits within
    which differences are accepted. In this activity you define the accounts
    to which these differences should be posted.)
    HOPE THIS WILL HELP YOU
    REGARDS.

  • F110 - Automatic payment Program    Vendor /Customer Clearing

    I have entered all the settings related to the Vendor/Customer clearing.
    1.Entering the Vendor and Customer account numbers in the relevant master records.
    2.Activating the clearing with Vendor/Customer in both master records.
    But when F110 is executed,the customer line items are thrown in the exception list.The line items are all due on both the sides.When i reallocate the customer line item,it is giving the option of deducting it from the Vendor line item.
    It has to do autmotically and pay the balance amount to the Vendor,instead of doing it manually.
    Request to contribute your ideas for solving this issue.
    Regards
    Sunil

    Hii Neeraj,
                   The error says it consists of the debit balance.But the settings are already made in both the vendor and customer records.But if we click the execption item and reallocate ,it is accepted to deduct it from the vendor line item.
    Thanks and Regards
    Sunil

  • Automatic clearing of a vendor prepayment

    Hi,
    I am trying to do the following :
    - post a PO
    - post a GR
    - post a down payment or prepayment
    - get it paid through F110
    - post MIRO
    - pay remainder of the invoice through F110
    I found 2 ways of working :
    1) through down payment request process.  BUT this is not what I am looking for as there is no automatic clearing between final invoice and down payment.  This has to be cleared manually.
    2) In Logistics Invoice verification, there is a possibility to use a "prepayment".  This involves a few customizing settings in LIV under "prepayment", and has to be also configured on the vendor master record.  This way of working produces an invoice, related to the original PO, but with no link to the PO items.  When posting this invoice (transaction MIRA), the prepayment document should be automatically created ...  Unfortunately, I do not succeed in getting this prepayment working !!!!
    Does anyone know about this ?
    Or any other idea if using another process ?  Billing plan possibility ?
    Many thanks !
    Danielle

    Use t.code for F-44 for clearing openitems..There you can  enter PO at line item level
    u can give PO as reference to process Invoice which is gateway for Payment
    Regards

  • Automatic clearing of vendor line after MR8M

    Hi
    When we reverse vendor invoice (MIRO invoice) using MR8M, SAP does not automatically clear vendor lines. It gives a message as "Invoice successfully reversed, Manually clear FI documents".
    Automatic clearing happens successfully when we reverse FI documents or SD billing documents. Issue is only in MR8M.
    Is there any solution to enable automatic clearing of vendor lines when MR8M reversal is carried out. I do not want to clear using F.13 or using other transaction like F-44.

    Use t.code for F-44 for clearing openitems..There you can  enter PO at line item level
    u can give PO as reference to process Invoice which is gateway for Payment
    Regards

  • Automatic Clearing for Customers and Vendors

    Hi,
    We want to clear the open items at a time for the customers and vendors.
    Ex: Cutomer "A" contains 15000 Dr(20 Line items), 12000 Cr(15 Line items) and closing balance 3000 Dr
    Now we want to clear the all open items at a time and remaining(3000 Dr) balance for open items.
    We don't want Manual Clearing(F-32)
    Is this possible through F.13 or others? 
    Thanks in advance

    No you cant
    The automatic program groups items from an account together where they have the same
    entries in the following fields:
    • Reconciliation account number
    • Currency
    • Special G/L indicator
    • Five freely defined criteria from document header or line item, for example,
    assignment field, reference number, and so on.
    If the balance, in local currency, of the items within a group is zero, the system
    automatically clears them and creates clearing documents.
    All accounts requiring automatic clearing must be defined in Customizing.
    The automatic clearing program does not clear:
    • Noted items
    • Statistical postings and certain special G/L transactions relating to bills of
    exchange
    • Down payments can only be cleared if down payment clearing items of the
    same amount have already been posted.
    • items with withholding tax entries

  • F.13 automatic clearing for vendor

    Hi experts,
    My business process step is :
    1. Create vendor invoice
    2. Create payment request
    3. Run payment run
    After the payment run, the clearing account for payment request and payment run is automatically cleared. But the vendor invoice and payment request is still open and not cleared automatically.
    I'm thinking to have a automatic clearing to clear the invoice and payment request, but the situation is like this :
    example :
    I have 2 invoice, amount = 100 RM and 200 RM
    I created 1 payment request for total 300 RM
    How to configure the automatic clearing rules in OB74  to get those 2 invoice cleared by 1 payment request doc  ?
    Anyone can help me ?
    Thanks,
    Melissa

    Hi. If you pay and invoice with reference to PO so customize Autoclearing for PO,bukrs,

  • Automatic clearing for Vendors F.13

    Dear All,
    I have done MR8M ie reverse for Miro document, it shows a msg that FI Documents shud be clered manually, Our client has N number of such documents So i tried to do F.13 Automatic Clearing , but a Msg says " Account was selected, but is not entered in table TF123 " So how  am i supposed to do automatic clearing for vendor. Kindly Please Guide me
    Regards,
    R.Ramakrishnaraj,

    Hi,
    Table TF123 for Additional Rules for Running Programme SAPF124 (Clearing).So u just maintain that and proceed.
    Hopes its usefull
    R.Manigandan

  • Automatic clearing of billing document error

    Hi All,
    When user try to cancel/reverse the billing document following error occurred.
    "no accounting document created". but when user try to release to accounting in VF02. it gives following message.
    "Automatic Clearing of Billing document 900000034 and cancel document 1000000070 not possible."
    Message no.VF208
    Diagnosis
    The system cannot clear billing documents and cancellation documents beacuse, for example individual item updating is deactivated.
    System Response.
    The Billing Document can be created.
    Precedure
    The FI Documents are cleared manually.
    Please help me
    Thanks
    Sap Guru

    Dear Friend,
    IMG - SD - Billing - Define Billing Types.
    Go to your BIlling Document Definition (T-Code - VOFA) & remove the Tick mark (Check) In POsting BLock Check box.
    This check box is located in General Control.
    Hope this helps...
    Reward if useful...
    Thanks,
    Jignesh Mehta
    98700 10230

  • AUTOMATIC CLEARING FOR RECEIPTS PROGRAM 수행 시 ORA-1422 ERROR 발생 대처 방법.

    제품 : FIN_AR
    작성날짜 : 2004-11-09
    AUTOMATIC CLEARING FOR RECEIPTS PROGRAM 수행 시 ORA-1422 ERROR 발생 대처 방법.
    =====================================================================
    PURPOSE
    Problem Description
    AUTOMATIC CLEARING FOR RECEIPTS PROGRAM 수행 시 REP-1401: 'beforereport': Fatal PL/SQL error occurred.
    ORA-01422: exact fetch returns more than requested number of rows
    ORA-06512: at "APPS.ARP_AUTOMATIC_CLEARING_PKG", line 739 Error 가 발생하여 process 가 진행이 되지 않는다.
    Workaround
    N/A
    Solution Description
    1. 다음 sql을 수행 하여 해당 record 가 있는지 확인한다.
    select cash_receipt_id, count(cash_receipt_id)
    from ar_cash_receipt_history_all
    where current_record_flag = 'Y'
    group by cash_receipt_id
    having count(cash_receipt_id) > 1 ;
    2. 만약 record count가 1이상이면 ar_cash_receipt_history_all table에 remitted 로 record 가 중복 발생하여 program 수행 시 error 가 나는 것이므로 아래 datafix 방법을 수행한다.
    A. temp table을 생성한다.
    create table temp1 as (
    select
    cash_receipt_id,
    max(cash_receipt_history_id) cash_receipt_history_id
    from
    ar_cash_receipt_history_all
    where
    cash_receipt_id in
    (select cash_receipt_id
    from ar_cash_receipt_history_all
    where current_record_flag = 'Y'
    group by cash_receipt_id
    having count(cash_receipt_id) > 1)
    and status = 'REMITTED'
    and current_record_flag = 'Y'
    group by
    cash_receipt_id);
    B.중복 데이타를 삭제한다.
    delete ar_cash_receipt_history_all
    where cash_receipt_history_id in (select cash_receipt_history_id from temp1);
    delete ar_distributions_all
    where SOURCE_ID in (select cash_receipt_history_id from temp1)
    and source_table = 'CRH';
    commit;
    C. Automatic Clearing Program을 다시 수행하여 문제가 없는지 여부를 확인하고, temp1 table은 drop해준다.
    Reference Documents
    -------------------

  • Automatic clearing using MRKO

    I'm not sure whether this thread belongs in FI or MM but I just took a chance and posted it in MM.
    We have our normal GR/IR account set up for automatic clearing via F.13 once the WE and the RE are in balance.
    However, we have a different GR/IR account (211100) for our pipeline materials.  However, on the G/L side, once an MRKO document is generated, there is no clearing.  I tried to clear the WA docs against the MRKO doc,via F.13 but I was told that no clearing docs were generated.
    Is there anyway to effectively use open item management on 211100 to show which goods movements go with which MRKO doc and therefore which documents remain "open" with no liability created to the vendor.
    Any information you have would be greatly appreciated.
    thanks
    Josh

    Hi
    Can you send the steps for automatic clearing with tolerance limit
    I have done the following configuration and  still systems is showing error message difference is to large
    Define Tolerance limit for GL Account
    Define Tolerance Limit for Employee
    Assign Tolerance group to GL Master
    Define GL Account for Difference Posting
    Define Clearing Rule ( Account Assignment Basis)
    Regards
    Prem Prakash Sharma

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