F110 - Payment Run -Advance to Vendors

Dear Experts,
I am Facing an Issue in Payment Run . The case is as below:
We have a Vendor whose debit balance exists because advance payments have been made to the said vendor . When I check the Vendor Line item using FBL1N for that particular vendor, I find 2 Debit Balances relating to advance paid and 2 credit balances relating to Invoices Received from Vendor.  The debit balances are greater than credit balances and as such the net balance of vendor is debit.
While performing Automatic Payment Run, I would expect that the 2 invoices for the said vendor should not be picked up as the debit balances exists for the said vendor.
But the fact and the problem is that the invoices are getting picked up which accordingly is not ideal. And the strange thing is that other vendor in same company code and also in other co code with a similar situation is behaving as per my expectation. I checked all the master records and it seems to be okay.  Only single Payment method is defined in the Master record and not in any of the line items of the documents.
Can you please help in identifying what could be the possible reason for this error ?
Thanks in advance
AJ
Edited by: A. Jajoo on Mar 11, 2010 11:54 AM

Hi,
Some times Debit balance documents are pciked due to payment method not available in the document and system not picking up from the master record. Second reason could be consolidation of Payment method supplement. It means, system expects the same field to be filled up in the debit balance documents as like as invoicesdocuments picked up during that run.Tthat is in the Invoice documents which is picked up during this payment run, Payment method supplement and payment method is entered, debitbalance records should also have same details.
Hence please check the same .Then system will consider during payment run
Regards
Uma

Similar Messages

  • F110 Payment run for multiple vendors

    Hi
    I will like to find out if I can select multiple vendors for my payment run in f110, so i dont keep entering the vendors each time i am trying to run payment. For instance I have payment method "Q" is it possible to create a variant that will automatically populate the vendors that use that payment method. also if it is possible to create an exception so that if there is a vendor in payment method "Q" that is not due for payment i can unselect them during my payment run.
    I saw a similar question but the answers were not very clear to me.
    Thanks

    Hi Olany,
    Instead entering individual vendors for payment give the range of vendors (E.g from  100000 to 999999) along with the payment method Q. This will select all invoices due for payments with payment method Q. If you require to exclude any inovice even if thos are due, this can be done via entering the invoice numbers in  "Free selection" tab.
    Regards
    Nadini

  • F110  Payment Run

    I am having a problem with F110 Payment run. It's showing the error as: 'Item cannot be paid due to inconsistent withholding tax'. I have done the payment run for the same vendor, same company code and it worked well. Later, I deleted one of the WH Tax type in Vendor Master. Has anyone come across this or similar issue?. What can I do to solve this?.

    hi,
      I am not able to see the Deleted WH Tax info. when I run the RFWT0010. I tried to do the payment run after executing RFWT0010, but am not able to resolve the problem. I have run the S_P00_07000134(the 1099 report) a few days back(before posting the new Invoices). Do you think this has anything to do with the existing problem. And I have checked the config. again for the tax type, Tax codes and their assignments to Co.Cd. which everything seems to be correct. I tried to pay using f-53 which is showing the same error.
    As Hein said i tried to look in the Invoice doc. for the WHTax info.(I have the setting to do calculate the WHTax amount @ the Payment level). So, its not possible to delete the Tax code and make the settings in VM.
    As per suresh, I have checked the validity of the tax code its(1/1/2000-12/31/9999). And the tax type, tax code are assigned in the VMR.
    I am not able to resolve this. Has anyone come across the same/similar issue and resolved it?.

  • Duplicate payments in Payment list of F110 payment run

    Hello all,
    We had run APP trhu F110 payment run was as expected with amount 100000 EUR but when we checked payment list (EDIT- Payment - Payment list) there are duplicate entries and total is showing as 200000 EUR.
    Following are onservations
    1) In SAP posting made correctly to all vendors with a total of 100000 EUR. So no double payments posted in vendor account 
    2) Payment list is showing amounts with a doument numbers. Duplicate payments also having document numbers but which are not exists in SAP
    3) Documents posted with doc type ZP in sap is not in serial i.e 1,2,3,4 Its posted like 1,3,5,7... the document no 2,4 can be seen in the payment list
    4) Also I checked log for the payment run and I found one warning message as "Check whether a duplicate payment medium has been created"
    5) Also status of payment run is "Posting orders: 1,174 generated, 605 completed"
    6) I also checked setting in FBZP which is also correct
    We need to correct the DME file with correect postings
    If anyone has faced issue then please share your inputs
    Thanks & regards

    Dear Rajan,
    the payment document validation works as follows:
    If you select this parameter, a form is only printed if the related
    payment document has already been posted.
    Note that it is not advisable to schedule the payment program and the
    data medium programs to run at the same time, if you want the system to
    be able to carry out validation of the payment documents - because the
    system does not start posting the documents at the same time as the
    program runs, and in order to ensure that the payment program generally
    finishes its run before all the payment documents have been posted, the
    payment medium program (started after the payment program) would display
    in the error list any documents that have not (yet) been found.
    As a result double payments are not possible as no payment media is
    created if the payment document is not posted. The items are still
    open and are selected in the next payment run again.
    If the payment document validation is not used, the payment media is
    created but the open item is not cleared as the payment document is
    not posted. In this case you have to clear the open items manually
    (if a repeat update is not possible) to avoid double payments.
    dear Prashant,
    It is normal that if the automatic payment does not pay all the items, You can find them hanging into sm13.
    However, in general, when this happens you could try to use the edit >
    payments > after termination > draw up again option, if it is
    available.  If there is an entry in SM13, as in Your case, you should process it.
    But sometimes the System does not allow to do it.
    Anyway the only problem I can see is the one reported by the note 545340:
    When the payment program is terminated, it may be the case that not all
    payment documents exist on the updated database while the entries
    already exist in the tables REGUH and REGUP. However, this basic
    procedure has the advantage that the payment media can already be
    created for the purpose of fast forwarding to the bank when for example
    the payment documents update is delayed.
    For this problem please refer to the Note 545340 point [4]
    that answers to it.
    Furthermore please be aware that:
    as I told You in the beginning, If the payment program does not pay
    all the invoices contained into the payment proposal, It will depend on
    the fact that during the payment proposal run time and the payment
    proposal time, something changed respect one of the selected invoices.
    This means that one document number was NOT posted even if It is
    contained in the tables REGUH and REGUP.
    Please be informed payment data tables REGU* are used by only payment
    program and no need to take any corrective action and should not be a
    problem with auditors.
    So You can pay the invoices manually or by the next automatic payment
    run without any problem.
    I hope now the System behaviour is more clear.
    Mauri

  • F110 payment run - Plant wise

    Dear All,
    We have a  scenario where clients is having five plants under one legal entity.
    Client wants F110 payment run  separately for all vendor invoices specific to the plant.
    For all plants , there are separate bank accounts and respective invoice must go to plant specific bank account as this is legal requirement of the country.
    Could you please let me know configuration steps to manage this scenario.
    Also can you let us know, how can we make payment to selected Vendors in F110 ( additional field tab).
    In paramater tab,we have the option to incorporate the selected vendor codes.
    In additional field tab,we have only 3 row with a range of Vendor codes.
    Now i want to make payment to 50 vendors(specific to one plant) the vendor codes are 001,18,58,193,etc......how can we do this  while we run the payment program.
    Do suggest
    Regards

    When you are posting an invoice, some field in the invoice document must have plant information. Based on that you can substitute the House Bank. Lets say for example, You enter the value "Plant1" in the Assignment field of the vendor invoice. and you want to pay Plant1 invoices through house Bank HBK01. Then your should create a substitution rule saying if the value in say assignment field is "Plant1" then substitute House Bank field in the vendor line with value HBK01. If you are using a dedicated vendor number ranges specific to plant, then you can do the house bank substitution based on vendor ID as well, and then you don't have to enter Plant info in the invoice.
    Then all the invoices will have right house bank data. Now to make sure that you are paying to vendor posting specific to a plant in the payment run. You can go to FREE SELECTION tab of payment run(F110) when you enter parameters, and in the drop down under field name double click others option and select the document and enter. and then select and enter the field that you are using to enter plant information. In my example I have used Assignment field to enter plant information. So, I will select BSEG-ZUONR. Then I will go to Values field and enter "Plant1". Then Payment run will pick up only "Plant1" invoices.
    If you already using some rules to enter the house bank in the invoice, then you might not want to use the substitution rule. But find out which field in the vendor invoice has plant infomation, and select that field as i have shown above though FREE SELECTION.
    Thanks
    ROn

  • F110 payment run - split on invoice line item that exceed certain amount

    Dear expert,
    Now i want to ask is there any ways to configure F110 - payment run to auto checking on whenever the amount of one fi document is more than USD100,000 will auto split to second payment item.
    *i have already tick individual pmnt on tcode FK02 - change vendor master data (at automatic payment transactions column). This method will split all fi document under same vendor post with different posting document number.
    I would like to ask is there any way to configure auto split on the fi document (if the document is exceed some amount) for payment run.
    thanks and appreciate

    i have put distribution amount.
    Let say i put distribution amount USD100, after i run payment run, one account payable document will generate one payment document.
    As what i want is- if the ap document is USD 200, then the payment document will generate two payment document.
    Coz my enquiry is if the payment is excedd USD100 we need to assign to another tt payment as the TT is only accept maximum USD100 transfer.
    Expert, please advice on ur view.
    Thanks and appreciate much on ur previous help.
    regards,
    Ng Chong Chuan

  • F110 - payment run program

    Dear All,
    When I run f110 - payment run, does it always create a "Payment Document" ?
    Thanks in advance for your quick reply/.
    Best Regards
    Vijay.

    Hi,
    i think no one of your business partner has payment method
    <b>W</b> in master data or in FI-Document - only <i>T</i>
    you can also take more than 1 payment method (here: <b>TW</b>)
    in your parameters of F110
    A.
    Message was edited by: Andreas Mann

  • Email notification for payments made through F110 payment run

    Hi Gurus,
    I have configured all the settings for the email notification through F110 payment run. I got the email also by using the email field in the address tab.
    My question is the same field is using the sales team to send their customer statements and invoices. So i selected the Contact person tab and maintained the email address.
    But i could not send because the contact person tab is also pointing to the same field for email ( SMTP_ADDR)
    Basically i want to send email for my payment run, without interuptting the email id which is maintained for customer statements.
    Can you please suggest the alternative field to send email apart from address tab ( email field )
    Regards
    Krish

    Hi Krish,
    Please go through posted discussion tread for your needful:
    Re: F110 - Automatic email to vendor when payment run is carried out
    Regards,
    Santoshy

  • Release F110 payment run

    I ran the F110 payment cycle for one vendor using today's date - enter parameters, created proposal, scheduled payment run for today, start immediately.  However, vendor had pymt terms on net30 so no check run was completed. 
    Question is how do I release early or modify payment run to get check run to process.  I changed vendor master to terms due immediately which should solve future payments but need to get this invoice paid.

    HI
    You need to reverse the payment document using option Reset cleared items. Then you check the payment terms and run the payment program in proposal and in actual run.
    If the payment is due in future, you can enter future date in Next run date column while entering parameters.
    Thanks

  • System shut down during F110 payment run

    During the F110 payment run, the PRD system shut down. There were 259 items in the proposal and according to the status 42 posting orders were generated and completed. What is the process to handle this problem? Can the payment run be re-started?
    It appears that clearing documents were created for some open items before the system shut down but no checks are showing in the check register. Has this happened to anyone before and what steps should be taken to resolve this?

    Is it a matter of...
    1. deleting the output of the payment run,
    2. deleting the proposal
    3. canceling the the payment check by check using FCH8 if any occurred
    4. reseting and reversing the clearing documents created using FBRA before the system shut down
    5. start a new payment run

  • F110 Payment Run Idoc

    I have the partner profile setup for F110 Payment run.
    I have added the message types : REMADV for the basic type PEXR2002.
    I also have added : PAYEXT for PEXR2002.
    The Payment run generates the Idoc successfully. PAYEXE IDoc is generated.
    I want to actually generate REMADV Idoc as per my functional requirement.
    Question:
    1. Whats the difference if Both are pointing to same Basic Type - PEXR2002 ?
    2. What should I do to generate REMADV and Not PAYEXT?
    3. Any configuration that decides the idoc type?
    FYI - The payment method configured for all this is "E" - BACS Payment.
    Any help would be appretiated.
    Pranali

    Hi ,
    check this blog  http://www.sdn.sap.com/irj/scn/go/portal/prtroot/docs/library/uuid/a00afa41-4254-2d10-74a5-bd560edf74da?quicklink=index&overridelayout=true
    IDOC Configuration steps for EDI
    IDOC Information
    IDOC type: PEXR2002
    Message type: REMADV
    Function Module: IDOC_INPUT_REMADV_CTR
    Process code: REMC
    Process
    When an inbound Payment advice is received, it will create a payment and clearing AR document with the document type set up in the config below.
    Config
     Define posting rule in SPRO->FI->Bank accounting ->Business Transactions ->Payment transactions ->manual bank statement->define posting keys and posting rules
     Assign company code to EDI payments in SPRO->FI->AR and AP ->Bus Transactons->Incoming Payments->Electronic->Payment Advice Notes->Assign company codes for EDI payment advice notes.
     Define Payment advice type 06 in SPRO->FI->AR and AP ->Bus Transactons->Incoming Payments->Electronic->Payment Advice Notes->Define Further processing with account type D.
    Prabhudas

  • F110 Payment run have been cancelled

    Hi all expert,
    When i want to do payment to vendor, the proposal is created.
    But show message 'Payment run have been cancelld'.
    So at this moment, i can't do anything to do the payment.
    I can't make another proposal and payment run for the vendor.
    Some one please help me.
    Thanks

    This is my payment job log,
    08.10.2008 17:10:18 Job started                              
    08.10.2008 17:10:18 Step 001 started (program SAPF110S, variant 0000000010756, user ID: ACC-USER)
    08.10.2008 17:10:18 Log for payment run for payment on 10.10.2008, identification B1010
    08.10.2008 17:10:27 ABAP/4 processor: DBIF_RSQL_INVALID_REQUEST 00 671 A 
    08.10.2008 17:10:27 Job cancelled     00           518          A     
    Can everyone explain to me why my payment run will cancelled with this error?
    Thanks

  • How far back is SAP able to keep our F110 Payment Run file (PAYMUL).

    Dear's
    How far back is SAP able to keep our F110 Payment Run file (PAYMUL).
    Will we able to retrieve payment run from a few months/weeks ago ?
    Regards
    Anil

    Anil,
    Yes, you can
    F110 >Payment Run > Overview
    Rgds
    Murali. N

  • How to restrict vendor line items to be picked to 6 in f110 payment run?

    Hai
    how we can allow F110 programme to generate a clearing document for every 6 line items.Means if a vendor has 15 open items which are due for payment at the time of Automatic Payment Run . The System should generate 3 clearing documents. Means the split up should be 663. Means for the first 6 open items (1-6) one clearing document. For next 6 Open items (7-12) and for the last 3 Open Items(13-15) , One clearing Document to be generated.
    Kindly Advice me. Surely Iam going to reward the ponits.
    Thanks In Advance, Have A Great Day
    Akash Narayana

    1)block all doc's where count > 6 (per vendor) and do f110
    2)unlock and repeat 1)
    .. until all doc's are paid
    A.
    Message was edited by:
            Andreas Mann

  • FI  F110 payment run multiple payment documents for same vendor l

    We have an issue where a F110 automatic payment run creates two payment documents for the same vendor multiple open items in the same run. The payment method for all the open items is the same.  I am not able to identify the logic based on which system bifurcates these open items to create two different payment documents. It is standard SAP functionality and we do not have any additional customization.
    I have also checked criteria mentioned in FBZP Payment method in company code Payment per due day but does not seem to be relevant. If you have any pointers in this context request you to share the same at the earliest.

    Hello,
    In FBZP we have below setting for grouping of items in company code payment method.
    1.Single payment for marked line item: Single payment will be created for every line item if this check box is selected.
    2.Payment per due day: One payment document is created for all the invoices which are due on specific due date.
    Please check if any of above option is selected here.
    We have also control at vendor master:
    Vendor master data > Company code > Payment data > Automatic payment transactions > individual payment.
    If check box is selected then every vendor or customer item is paid separately during automatic payment transactions.
    Thanks!
    Raju

Maybe you are looking for

  • Adobe Reader won't install in any of the website-given ways. How can I fix this?

    I've been trying to install Adobe Reader 11.0 on my Windows 8 computer for about an hour now. When I download the regular installer, the first thing my PC does is give a security warning. Strange already, but the website mentioned this could happen,

  • Want to Insert Text at Beginning of a Paragraph Using GREP

    I'd like to find the beginning of a paragraph and insert a text (that uses a specific character style) into that paragraph. Below is how I've set up the find/change: It almost works. The phrase "SECOND ITEM IS FREE!" is inserted at the beginning of t

  • Aitunes disconnects randomly

    My Airtunes just started randomly disconnecting from its Airport Express. iTunes pauses and when I try to start it again, I get error message saying the Airport Express has no speakers attached. I switch iTunes to 'compuer' and back to the appropriat

  • Iphoto '08 is blank after I renamed iphoto library

    I created a new iphoto library and renamed the original iphoto library, but now both are blank. I tried rebuilding by holding down option and command keys, but both are still blank. Please help.

  • Can't trim beginning off audio track???

    I am new to Aperture (3.0.2), so this is probably a simple question, but the problem is driving me crazy. Thanks in advance for any help! I have a slideshow, and want to add audio. I can drag in a song (into the secondary audio track) from the audio