F110 Issue Split of Vendor line items in Clearing document

Hi SAP Gurus,
I have a strange problem with F110 payment programme when i am clearing the single  vendor line items example 4 line items through F110 system is spliting 4 line items into 4 different clearing doucments rather than creating one clearing document and showing an error 098 in document payment list.
Can you please guide me in this issue
Regards
Srini

HI
This may happen because of any of the following settings:
1) in the vendor master, payment transaction company code area, "individual payment" check box is selected
2) "single payment for marked item" check box is selected in payment methos company code.
Deselect the check box for making single payment for multiple open item

Similar Messages

  • Vendor Line Item not cleared after F110

    Hi Gurus,
    We encountered an issue. The payment run was processed last April 18 and the vendor invoices were captured during the payment run and in the aging report, these invoices didn't appear as Open Item.
    In between April 19 until August 19, these invoices are not part of the proposal list until the when they run payment on August 20. The value is zero and in the proposal list, there is a value in the Reason to Print Advice "A".
    What is the reason for this?
    Thank you.

    Hi Dianne Obviar,
    For that invoice payment delete uncompleted payment
    proposal.
    U go through this path select F4 in run date field
    There check it any un completed proposal is there and delete
    that invoice line item will come for payable
    Regards
    Surya

  • Error in document splitting in vendor line item

    Hi,
    I have activated document splitting on segment and profit center level.  When I am entering simple transaction through transaction code FB60, the error message is showing " Balancing field profit center in line item 001 not filled".
    Details as below:  Through T. Code FB 60
    Expense 1 Dr 600
    Expense

    Hi Babji,
    Check the following settings in customizing
    1. Check the field status of GL. It allows the entry for Profit Center i.e optional or required.
    2. Check IMG > Financial Accounting (New) > General Ledger Accounting (New) > Business Transactions > Document Splitting > Classify Document Types for Document Splitting
    Check whether this document type is assigned to Business transaction (0300) and Business Transaction Variant (0001)
    3. Also check IMG > Financial Accounting (New) > General Ledger Accounting (New) > Business Transactions > Document Splitting > Activate Document Splitting.
    Check whether Inheritance is checked?
    Regards,
    Surya

  • Advance ajdustment for Vendor line items through F110

    Hello
    We have to make advance ajustment through F110 for the Vendor line items .  Advance is posted with special indicators through F-48 and invoice booked through FB60 and MIRO.
    I have checked the configuration in FBZP "All Company Codes" where special indicators is assigned.  Still advance is not getting adjusted.
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    Regards,

    Hello Prashant,
    Check F110 Addtional log tab > Due date check box  & also check F110 > Parameter > Next payment date it should be more that what you expecting due date selection
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  • Profit Center on Vendor Line Item - When other line item is Bank

    Dear Experts,
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    Credit 37 Other Clearing Vendor $100
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    The core problem is that at the time of Vendor line item we cannot manually enter the Profit Center.
    We have Doc Splitting activated and Profit Centers are mandatory.
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    Thanks so much.

    Hi,
    I think you maintained the Document Splitting settings correctly, if the system is not allowing to clear the invoice u directly enter profit center in F-53
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    All the Best

  • KR doc type posted without vendor line item a mandatory item category

    Hello Gurus,
    We have SPL document splitter activated in our ECC system. We have the business transaction variant 0300 / Z001 assigned to doc type KR. The vendor line is obligatory in the above business transaction variant (BTV). THe splitting rule is also assigned for this BTV.
    THe problem is that despite having the vendor as obligatory for this BTV, we are able to post the doc type KR (vendor invoice) without the vendor line item e.g.. doc with doc type KR and debit and credit to expense a/c.
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    Hi,
    To make the vendor line mandatory for KR document type, you can write the validation as below:-
    Step 1:-
    Create a message ID via transaction code SE91 for message class /EACC/MSG/ACC_COMP as you want to display to user.
    Step 2:-
    Go to transaction GGB0 and create the validation step at complete document level in Financial Accounting as below:-
    Pre Requisits:-
    BKPF-BLART = 'KR'.
    Check:-
    Create a exit code using user exit and check that line items have at least one vendor line item.
    For this take the help of ABAPer and create a copy of the program RGGBR000 and code your check here and assign to the application area GBLR in view V_T80D via transaction code SM30.
    Message:-
    Message created in step 1 as error message.
    Step 3:-
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  • Profir Center Update for Vendor Line Item

    Hi,
    While entering an inter company document, cost center is required field for the expense line item. The system is picking up the profit center based on the cost center. However, while saving the document I  am getting a error message that you can not post to profit center XX in company code 2. The profit center is only assigned to company code 1 (KE52) and it is not to be assigned to company code 2. Ideally the vendor line item should be assigned to dummy profit center maintained in config but system is picking the profit center assigned to expense line item. The following entery is being passed and the document type is AB. Document Splitting is active.
    Expenses A/c. Dr - company code 1 - PC - XX
    To Vendor            - company code 2
    can anyone help me with the same?

    Hi,
    Validations are in 3 steps (Mostly Inter-company transaction fetch this validation in sequence)
    1) Derivation Rule
    2) Default   
    3) Dummy
    Option 1:
    T-code: 3KEI
    setup default profit centre by company code and GL Account
    if above does not resolve your issue then also setup option 2
    Option 2:
    Create substitution rule on document completion level
    If G/L account is (B/S) XXXXXX u2013 XXXXXX and company code is 2
       then PC = 2
    End if
    try first in test system
    regards,
    Prashant Rane

  • Prob. with addiational line items when clearing Cust/Vendor

    Hi Experts,
    I've a serious issue with Account Clearing (F-32, F-44, F-03).  SAP generates unwanted additional line items when clearing customer/Vendor or GL accounts.  I've studied almost all the relevant SAP notes but couldn't found the solution of this issue.......   
    Company Code:               Single          1000
    Segments:               Two               1000, 2000
    Document Splitting:                         Active
    Splitting Method:                         0000000012
    Level of Detail;                              Inheritance
    Zero Balance Clearing Account;                    Defined
    Document Splitting Characteristic:                      Profit Center and Segment, both are defined as required characteristics and balance to zero in document splitting.
    Issue:
    1.     T-Code F-32 Creates additional unwanted clearing line items in Customer Subledger/Account
    2.     T-Code F-44  Creates additional unwanted clearing line items in Vendor Subledger/Account.
    3.     T-Code F-03  G/L Account Clearing also creates unwanted additional clearing line items in GL account.
    An immediate help in the above mentioned problem will be highly appreciated.
    Regards,

    Please check the following Scenario.....
    1.  Enter a customer invoice of USD 1000 from FB70.
    2.  Enter a Credit memo of the same customer of USD 1000 from FB70
    In both documents all the information should be same.
    If you look at the customer account in FBL5N, it'll balance to zero, with two open items i.e an invoice and a credit memo of same amount.
    3.  Now clear that customer from F-32.
    The clearing document contains two line items.
    1. Customer Dr. with PK 07 Amount USD 1000
    2. Same customer account is credit with PK 17 Amount USD 1000
    the above two line items are undesired.
    When we analyze the transactions of this customer by FD10N, it shows Dr. during the period USD 2000 and Cr. during the period USD 2000.   Although the actual Dr. amount of Invoice was USD 1000 and Credit amount of Credit memo was USD 1000.
    Due to Account clearing F-32, the system shows high turnover of transactions in the customer account.  Same thing happens with Vendor and GL clearing.........................
    I hope i am able to clear the problem,  please feel free to ask me, if any further details required.
    Regards,

  • Vendor line item due date error

    I found the net due date in vendor line item report is not correct. vendor payment term is 30 days, accounting document posting date is Jan1. 2010,but net due date is Jan.1.2010, it should be 1.Feb,2010.
    why system calculate wrongly? Thanks

    Is it a credit memo ?
    For a credit memo the due date is the baseline date. This is the default rule. If you want that the credit memo is taken in account with payment terms, you must either link it to an invoice by filling the field REBZG with the invoice number either put the constant 'V' in the same field (REBZG). With 'V' in REBZG, the credit memo is taken in F110 according to its payment term.
    see documentation of data element REBZG.

  • Check number not getting updated in vendor line items

    Hi
    I am giving check to vendor. Hence i am assigning manual checks in FCH5. Then i did FCHU. After i did FCHU, my check number got updated in assignment field in bank line item. But i am getting problem for vendor line item.
    My vendor line item is not updated with check number. Hence i am unable to see what check number is issued against which payment document. I do not want to go in each every document and then click on environment and check information.
    I tried with check register also, but i am not getting vendor wise bank details smoothly.
    So i want to know how can i get check number in FBL1N vendor-wise. Is there any standard report?

    You should activate the PAYR-CHECF in FBL1N report. Execute FBL1N report for a vendor and go to Menu->Settings-> Special Fields. A new screen would open. There add the table PAYR and field CHECF. Save and exit out. Now the check number should be displayed in FBL1N report.
    Thanks,
    SD.

  • Missmatch vendor line items and vendor clearing

    Hello all,
    Im faced with a strange issue that i need some help on.
    The transaction F-44 is very common in problems mainly due to wrong selection criteria but in this case the problem goes behond that.
    I have a vendor with a total balance in its line items (FBL1N). - Example: 1.000u20AC
    The line items has, in the vendor line, a base amount and tax amount showing the following
    Base amount: 1.000
    Tax: 200
    The document generate a amount of 200 in the VAT GL account correctly.
    The vendor line items shows me a total of 1.000u20AC but when i try to clear the open items i get a strange value of 1.200 showned.
    Its like the total Base + Tax is being carried in for the clearing transaction.
    I just need to compensate for the vendor balance it shows different value causing a missmatch in the totals corresponding to the amount of Tax I have in each line item.
    Im using a special GL indicator because its an Asset Supplier.
    Any idea what can this be related to?
    Have you ever had a vendor balance showing one amount and when you try to clear it it shows another one?
    Any help is highly appreciated.
    Glytch

    Hi Filipe,
    I am having same problem as you.
    Have you got the answer for this issue?
    Can you share with me?
    Thanks in advance.

  • Segment  Field in  vendor line item

    Hello Guru,
                        we have activated new gl functionality with doucment splitting . but we are not able to view the segement filed in vendor line item and customer line item in different reports.
            how we can pool that field in variouse report in instead using Zreport.
    Thanks and Advance
    Laxmi narayan

    Hi,
    whe we are  entering  the vendor line item we can enter the Fund and fund Center, our segment will be derived from the fund ( we have done it in a substitution, if the segment is empty we derive it from the fund) and in BSEG table we can see that the segment is filled correctly. But we cannot change it because this fields segment don't appear in the screen. We have reviewed the SAPMF05A 0332 Screen (screen that we can see when we are entering the vendor line item and we push in "More data" button) but the segment field don't appear.
    Thanks in advance,
    Sap Userr

  • Profit Center in Vendor Line Item (T.Code:MIRO or F-02)

    Hi Friends,
    We are using ECC 6 but Document Splitting is not activated.
    We need Profit Center in Vendor Line Item (MIRO or F-02). How we can make this settings.
    Thanks
    Harani

    You can use  a substitution for populating the profit center in the vendor line. You can also use the user exits.
    Standard way in new GL is to use the Document Splitting featuire to populate the profit center in the vendor line based on other lines.
    If you are using BADI_ACC_DOCUMENT_POST, here you can fill the profit center.
    Regards,
    SDNer

  • Multiple Vendor Line item in FB60

    Hi Friends,
      It may be simple question but I stucked with it.
    I want to split a Vendor Invoice document in FB60(Enjoy Transactions.) by using special Indicator for Retention amount.
    You will be clear from below example :---
            Inventory Rawmaterial   a/c   DR 1,00,000
                   TO Vendor      a/c                       90,000
                   TO Vendor   a/c(Special GL a.c)  10,000
    I need to post above document in FB60 but not F-43.
    Here my question is how to split vendor line items while posting of document in FB60.
    Thanks in advance.
    Kiran Konujula

    Hi Kiran,
    In my previous project we had retention and we have created payment term with installment payment.this will solve your problem.
    Goto OBB8 T.code and create a payment term with installment payment (check this check box) and then goto OBB9 t.code to configure installment.
    enter as follow
    payment term   installment  percentage
    0001                       1          90
    0001                       2          10
    do the testing and let me know if you need some more information.
    Thanks,
    Rau

  • GL & Vendor Line Item Display

    Dear Forum,
    The users want to display the Vendor Codes in the GL Line Item Display to reflect the corresponding vendor related to the expense in the GL line item and also want the GL Code to be displayed in the Vendor Line Item to reflect the nature of expense incurred thru that vendor. Are there any standard reports that could provide the details in this manner. Oherwsie how could we change the layout of the GL and Vendor line item Reports.
    Thanks for the help.
    Regards,
    Moderator: Please, search SDN before posting. This question has been answered 2-3 times only last week, not speaking about more recent period (as already mentioned by our SAP colleague)

    HEllo,
    In flb3n you can  do this by using the offsetting account logic which is explained in details in the SAP Note 112312.
    This way you can see vendor/customer information in the Line items report for GL ACcounts.    
    This issue has been discussed several times before. If you search the forum you'll see the replies.
    REgards,
    REnan

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