F110 - Payment program for payment method 'W'

I'm trying to implement wire payments (using EDI).  When I run F110 I choose 'W' as the payment method on the parameters tab, and on the printout/data medium tab I expect to see program RFFOUS_T - instead I'm seeing RFFOUS_C.  Isn't RFFOUS_T the program that should run for wires?  I also am seeing RFFOAVIS and RFFOEDI1.  Should these programs be running, as well?

Hi
In FBZP did you do all the steps for payment method W
1.setup payment method per country for payment transactions
2.setup payment method per company code for payment transactions
3.setup all company codes for payment transactions
4.setup paying company codes for payment transactions
5.setup bank determination for payment transactions.
the error you are getting is No valid payment method found , not with the bank account number , g/l account and so on......
Try removing the payment method either in the Vendor Master or in the Document and run F110.
Regards
Venkat

Similar Messages

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    Hi,
    When I run F110 (Automatic payment program), I need to provide the payment advice for payment method T (bank transfer)
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    My question is:
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    2. which program has to be assigned to the payment advice form.
    Very Important note:  Here we are ALSO using DMEE file to upload- Under payment method country -I have configure the same for use payment medium workbench
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    Vidhya

    Hi Vidhya,
    All this is done in a single screen transaction code FBZP.
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    This is in Payment methods in Company codeSelect your payment method-Expand form data and assign the paymnet advice form.
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    FPAYM_INT_DMEE(For DMEE)./ in the next form you may have F110_IN_AVIS.
    Thanks
    Aravind

  • Automatic payment program for USD

    HI,
    Can any one share the steps to configure  automatic payment program for  USD currency.
    I have done APP for  advance pyment/ clearing invoice/Terms of payment.in INR ... but wanted to know  how to make the payment to customers
    what would be the scenario where we make the payments to customer.
    Regards,
    kamal

    Hi,
    First you have to define House Bank for USD payment and assign sub bank account id for House bank,
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    3. In 'Bank Determination' button   Please assign Ranking Order to payment method currency and house bank as per your organization's requirement.
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  • Automatic payment program for customer

    Hello!
    I have the next issue: I want to pay physically (give money from bank) to somebody (a commission). In the system, this person is defined as customer. Can I use the automatic payment program for a customer(as it is in SAP system) and send the payment to MultiCash in order the money can go out from my account?(I want to really pay somebody defined as a customer and use the APP and Multicash)
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    Yes, as long you have an open item on the customer account that needs paying.
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    Hth
    Hein

  • Automatic Payment program for Bank bills and Bill of Exchange.

    Helllo Sapients,
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    Naman

    Yes, as long you have an open item on the customer account that needs paying.
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    HI
    I    have an issue  in   Foreign exchange  transaction  using  SPOT transaction.   Below is the  process flow
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    kamala

    Hi,
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    2. For currency notes (cash payment) I am not sure how it works.  But probably it is possible by creating an account (account ID) for a particular house bank and use that (house bank & account id) for making payment. 
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    Please update if you found a better way to do this.
    thanks & regards,
    Kumar

  • Payment program for foreign vendors

    Hi Experts,
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    Hi,
    Yes we can run the payment program for foreign vendors in their currency.
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    and Tick all the three check boxes for foreign payments and foreign currency payments. SAVE
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    Hope it helps
    Regards
    Jyostna

  • JPY is not allowed as a payment currency for payment method 1

    Hi
    While doing  a payment run in F110 i am getting an error JPY is not allowed as a payment currency for payment method 1 where every thing is correct "error message that payment not
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    Laxmi

    Hi
    Go to FBZP --> Payment Method in Country --> Select your Country and Payment Method --> Click on "Currencies Allowed" tab on the left --> Check if JPY is added there.
    Also, perform the below checks:
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    1. Select Ranking Order tab on the left --> Check if the combination of Payment method, Currency, Rank Order & House Bank is maintained.
    2. Select Bak Accounts tab on the left --> Check if the combination of House Bank, Payment method, Currency, Account ID & Bank Subaccount is maintained.
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    Let me know if you have more queries.
    Regards
    Srini

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    Hi
    Any standard Tcode available for taking print of Payment Advice for payments made through bank transfers like TT to our vendors. Kindly share
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    thanks & regards
    salva bindu

    Hi Bindu,
    You can print the payment advices by selecting the Print immeidately in the variant we give in F110-prinout/medium tab.
    In that variant, you give printer name and check print immediately.
    ~Thanks!
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    Hi Ravi
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    TCODE-OBB8
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    Hi Bonnie,
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    Assign points if useful.

  • F110 Payment program for Singapore Bank DBS

    Hello SAP Experts,
    Has anyone created Payment Medium Format IDEALu2122 We are banking with DBS (Singapore) and we need to create:
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    2) SAP interface with DBS
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    Edited by: Mina Rix on Jan 4, 2012 12:15 PM

    Hi
    In FBZP did you do all the steps for payment method W
    1.setup payment method per country for payment transactions
    2.setup payment method per company code for payment transactions
    3.setup all company codes for payment transactions
    4.setup paying company codes for payment transactions
    5.setup bank determination for payment transactions.
    the error you are getting is No valid payment method found , not with the bank account number , g/l account and so on......
    Try removing the payment method either in the Vendor Master or in the Document and run F110.
    Regards
    Venkat

  • I am one promblem for automatic payment program for customer

    Job log overview for job:                    F110-20070426-HL    -X / 11421401               
         Date     Time     Message text          Message class     Message no.     Message type
         4/26/2007     11:42:14     Job started          0     516          S
         4/26/2007     11:42:15     Step 001 started (program SAPF110S, variant &0000000002084, user ID GAYATRI)          0     550          S
         4/26/2007     11:42:15     Log for proposal run for payment on 04/26/2007, identification HL               FZ     402          S
         4/26/2007     11:42:15     Customer 100199 G555 is contained in proposal 04/26/2007 W1; no editing               FZ     348          S
         4/26/2007     11:42:15     >               FZ     693          S
         4/26/2007     11:42:15     > Additional log for customer 100196 company code G555               FZ     692          S
         4/26/2007     11:42:15     >               FZ     693          S
         4/26/2007     11:42:15     > -
    Due date determination additional log               FZ     799          S
         4/26/2007     11:42:15     > Document 8001 line item 001 via INR       12,000.00               FZ     700          S
         4/26/2007     11:42:15     > Terms of payment: 04/14/2007    0  0.000 %    0  0.000 %    0               FZ     701          S
         4/26/2007     11:42:15     > Customer receivable is payable on 04/14/2007 with cash discount terms 1               FZ     706          S
         4/26/2007     11:42:15     >   Include customer items due by 04/26/2007               FZ     733          S
         4/26/2007     11:42:15     > Item should be paid now               FZ     709          S
         4/26/2007     11:42:15     > Item is due with 0.000 % cash discount               FZ     721          S
         4/26/2007     11:42:15     >               FZ     693          S
         4/26/2007     11:42:15     > -
    Due date determination additional log               FZ     799          S
         4/26/2007     11:42:15     > Document 8006 line item 001 via INR        1,001.00               FZ     700          S
         4/26/2007     11:42:15     > Terms of payment: 04/16/2007    0  0.000 %    0  0.000 %    0               FZ     701          S
         4/26/2007     11:42:15     > Customer receivable is payable on 04/16/2007 with cash discount terms 1               FZ     706          S
         4/26/2007     11:42:15     >   Include customer items due by 04/26/2007               FZ     733          S
         4/26/2007     11:42:15     > Item should be paid now               FZ     709          S
         4/26/2007     11:42:15     > Item is due with 0.000 % cash discount               FZ     721          S
         4/26/2007     11:42:15     >               FZ     693          S
         4/26/2007     11:42:15     > -
    Due date determination additional log               FZ     799          S
         4/26/2007     11:42:15     > Document 8007 line item 001 via INR        2,001.00               FZ     700          S
         4/26/2007     11:42:15     > Terms of payment: 04/16/2007    0  0.000 %    0  0.000 %    0               FZ     701          S
         4/26/2007     11:42:15     > Customer receivable is payable on 04/16/2007 with cash discount terms 1               FZ     706          S
         4/26/2007     11:42:15     >   Include customer items due by 04/26/2007               FZ     733          S
         4/26/2007     11:42:15     > Item should be paid now               FZ     709          S
         4/26/2007     11:42:15     > Item is due with 0.000 % cash discount               FZ     721          S
         4/26/2007     11:42:15     >               FZ     693          S
         4/26/2007     11:42:15     > -
    Due date determination additional log               FZ     799          S
         4/26/2007     11:42:15     > Document 8008 line item 001 via INR        3,001.00               FZ     700          S
         4/26/2007     11:42:15     > Terms of payment: 04/16/2007    0  0.000 %    0  0.000 %    0               FZ     701          S
         4/26/2007     11:42:15     > Customer receivable is payable on 04/16/2007 with cash discount terms 1               FZ     706          S
         4/26/2007     11:42:15     >   Include customer items due by 04/26/2007               FZ     733          S
         4/26/2007     11:42:15     > Item should be paid now               FZ     709          S
         4/26/2007     11:42:15     > Item is due with 0.000 % cash discount               FZ     721          S
         4/26/2007     11:42:15     >               FZ     693          S
         4/26/2007     11:42:15     > -
    Due date determination additional log               FZ     799          S
         4/26/2007     11:42:15     > Document 8009 line item 001 via INR        4,001.00               FZ     700          S
         4/26/2007     11:42:15     > Terms of payment: 04/16/2007    0  0.000 %    0  0.000 %    0               FZ     701          S
         4/26/2007     11:42:15     > Customer receivable is payable on 04/16/2007 with cash discount terms 1               FZ     706          S
         4/26/2007     11:42:15     >   Include customer items due by 04/26/2007               FZ     733          S
         4/26/2007     11:42:15     > Item should be paid now               FZ     709          S
         4/26/2007     11:42:15     > Item is due with 0.000 % cash discount               FZ     721          S
         4/26/2007     11:42:15     >               FZ     693          S
         4/26/2007     11:42:15     > -
    Payment method selection additional log               FZ     699          S
         4/26/2007     11:42:15     > Payment method selection for items due now to the amount of INR       22,004.00               FZ     601          S
         4/26/2007     11:42:15     > Payment method "{" is being checked               FZ     603          S
         4/26/2007     11:42:15     > Bank details are being checked               FZ     640          S
         4/26/2007     11:42:15     >    Customer/vendor bank details are being read               FZ     644          S
         4/26/2007     11:42:15     >     Customer/vendor bank details are being checked               FZ     665          S
         4/26/2007     11:42:15     > Customer/vendor does not have any allowed bank details               FZ     651          S
         4/26/2007     11:42:15     > No permitted payment method exists               FZ     608          S
         4/26/2007     11:42:15     Information re. customer 100196 / paying company code G555 ...               FZ     306          S
         4/26/2007     11:42:15     ... payment not possible because of reported error               FZ     311          S
         4/26/2007     11:42:15     >               FZ     693          S
         4/26/2007     11:42:15     > Additional log for customer 100200 company code G555               FZ     692          S
         4/26/2007     11:42:15     >               FZ     693          S
         4/26/2007     11:42:15     > -
    Due date determination additional log               FZ     799          S
         4/26/2007     11:42:15     > Document 4003 line item 002 via INR          500.00-               FZ     700          S
         4/26/2007     11:42:15     > Terms of payment: 04/26/2007    0  0.000 %    0  0.000 %    0               FZ     701          S
         4/26/2007     11:42:15     > Item is clearable from 04/26/2007 with payments               FZ     707          S
         4/26/2007     11:42:15     >   Include customer items due by 04/26/2007               FZ     733          S
         4/26/2007     11:42:15     > Item should be paid now               FZ     709          S
         4/26/2007     11:42:15     > Item is due with 0.000 % cash discount               FZ     721          S
         4/26/2007     11:42:15     Due items with currency INR, pmnt method  - items total is < 0               FZ     328          S
         4/26/2007     11:42:15     ...none of the payment methods defined can be used for these items               FZ     347          S
         4/26/2007     11:42:15     Information re. customer 100200 / paying company code G555 ...               FZ     306          S
         4/26/2007     11:42:15     ... payment not possible because of reported error               FZ     311          S
         4/26/2007     11:42:15     End of log               FZ     398          S
         4/26/2007     11:42:16     Job finished          0     517          S
    plz u help me........

    Hi
    In FBZP, "payment method - country ' step, please check the payment methods you have defined. please check if radio buttn of rincoming payment method is ticked. e.g if in the customer master record, payment method, C is given then check if it is defined as Incoming method in above step.
    pushkaraj

  • Payment Run for 1 method but different currencies.

    Hi All,
    We have a requirement where we have 1 House bank, 2 Bank accounts in that House bank (EUR, SGD) therefore 2 Account ID's, 2 Seperate cheque lots,  but we have 1 payment method for Cheques.  The required FBZP configuration has been done.  We also have created 2 Payment variants (1 for EUR & other for SGD).
    Now the issue is, how to run payment program using one proposal for 2 bank accounts?   I mean, as we have 2 seperate cheque lots and 2 different bank accounts but one payment method and 1 proposal whcih is considering all the vendors with the open items, So how to Run the payment program which picks their respective cheque lots.
    Thanks in advance,
    Pallavi

    Perhaps more details will be helpful:
    In configuration of outgoing payments, you have to configure house bank selection so that you pick the same bank for the payment method and each currency.
    Then you have to make sure that you configure the bank / payment method / currency combination to the correct accounts.
    You have to maintain check lots for each account.
    You have to maintain two variants for your checks: one for each currency.  The variant must include house bank, account, payment method.
    You maintain both variants in the same line for the program in F110.
    Then when the payment program runs, each invoice will be paid by the correct house bank account based on your configuration for bank and account selection.  When you do the printing, each variant should run separately, picking out the items based on their currency and house bank account.
    This is basically the information in previous replies, with a bit more detail.
    Good luck,
    - Jeff

  • How to assign smartform to print program for payment advice

    Hi!
    There is already a print program and a smartform for payment advice. This was working before as I was told. But when I checked table TNAPR, there is no entry in the table with the program name and neither for the smartform. How can I use them together again? This is used in tcode F110 so I could not use NACE.
    Any advise? Thanks!
    Cholen

    Hi Cholen,
    Configuration to assign Program and Form names for F110 is done in FBZP Transaction.
    Please Check under Paying company codes tab and Pmnt Methods in company Code tab where Smart form and other text modules are assigned.
    Under Pmnt methods in a country Print program is assigned.
    Thanks
    Sri

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