F110 - Payments between Customer & Vendors.

Hi All,
The scenerio is like this:
1) There is a Customer account No. 1 with 4 open items & 4 open items in Vendor Account No. 1
2) These are to be Netted to pay or to recieve between Customer or Vendor
3) There is another Customer Account No. 2  with 3 open items & 2 open items in vendor account no.2
4) These are to be netted to pay or to recived between customer or vendor
5) Suppose finally there is scenerio where we need to recive from Account No.1 an amount of Euro -5000 & to pay to Account No. 2 an amount of Euro - 3000
6) Is it possible to generate a posting like this
Bank Account Debit   2000
Account No. 2 Debit   3000
Account No. 1 Credit  5000
in F110, as it clears all the Customer and Vendor open items.
I know it is peculiar requirement but I do not have any other Choice to find a solution for this. I am trying to find is there any user exits for this. Can any one help me in this regard.
Thanks,
Srini

Hi,
I appreciate your answer, but I have done the required process explained by you, the client requires to clear the customer & vendor between each other as well as between two different accounts.
The first is happening perfectly i.e., clearing between customer & vendor, but they also require the second option i.e., clearing between two different customer & vendor and generate a single consolidated entry.
Can you please help me in providing a solution for this.
Thanks,
Srini

Similar Messages

  • F110 head office customer/vendor

    Hi
    when I do a payment by the F110 and I am using head office and subsidiary which is also a costumer the system doesn't show the open departures of customers. How can i do the meeting between  the branch and customer.

    Hello,
    To give some more clarity on this.
    You can have branch and head office in your system as customers. In the branch master data, you can assign the head office.
    You specify this account number only for branch accounts. Items that you post using the branch account number are automatically posted to the head office account. The system records the branch account number in the line items.
    Neither transactions nor balances are kept in the branch account.
    There you can have number of branches which can be integrated with its head office and you can CENTRALLY have transactions with head office only. More easy and single point of contact.
    Regards,
    Ravi

  • F110 Payment adice to vendor

    Hi All,
    I could not able to sent a payment advice note to vendor.  i configured APP and in vendor master  in correspondence tab i have entered cleark's mail id also. and In SU01 user profile also maintained then i run f110 and payment document created and payment advice spool also created but payment advice not deliverd to vendor. what needs to be done is there any missing config to send payment advice?
    Please let me know.
    Regards,
    jc

    Check Wether the form for payment advice are selected in Transaction OBVU.
    Manoj

  • F110- Payment advices for vendor - SAP standard solution

    Hello all,
    I would like to generate Payment advices via Idoc to the vendor in a standard way ( no ABAP), can I use the program RFFOUS_C ( assigned in Payment method company code ) and generate the idoc payment advices via RFFOAVIS?
    I canu2019t create the payment advices with the above programs, here what I have done so far
    1) Vendor master checked with the EDI flag
    2) FBZP is configured, assigned the RFFOUS_C
    3) Variant setup for RFFOAVIS
    4) Payment posted correctly but in the output its is saying " No row selected"
    We are using classic payment medium.
    Thanks in advance for your help

    Have you created right variant in your parameters in F110. Otherwise, no advice will be created.
    have you checked your FBZP settings, you must allow the generation of payment advice.
    Are you looking into SP02 for payment advice.

  • Down payment problems Customer/Vendor - Assign default cost elements

    Helo Gurus,
    ive tried to execute TC: F-29 Customer and F-48 Vendor down payments.
    I enter all the data needed and additionaly Internal Order.
    Then i get a message saying:
    Maintain default revenue element in controlling area 5000
    Message no. FI661
    Diagnosis
    CO down payment update is active in controlling area 5000.  You must therefore maintain a default cost element and a default revenue element for down payments.
    Procedure
    Maintain the default cost elements for down payments for controlling area 5000 in the Project System implementation guide.
    The maintenance is done in TC: OKEP (project system)
    I created two revenue Cost elements and tried to assign them there, but it says CE are nore primary CE.
    I changed it from revenue to primary, then it says that CE isnt revenue...
    weird stuff
    What could be the problem?
    Regards
    Laurynas

    Hi,
    Please refer to SAP Note 388843.
    Regards,
    Srinu

  • F110 payment run - split vendor invoice

    Dear,
    For some vendors, the payment of the invoices should be split over 2 bank accounts.
    Currently they clear the invoice via transaction FB05 and split the amount over 2 bankaccounts for this vendor. Then we do the payment run.
    This works fine but they loose a lot of time with this process.
    Now we are looking for a process to avoid the clearing but split the amount during the payment run over 2 bankaccounts.
    Are there some userexits where we can manipulate the REGUH/REGUP tables to do the manipulations by ourselves or is there a standard SAP approach to accomplish this ?
    wkr,
    Andy

    Hi Andy,
    Did you find the solution for the above requirement?
    Vendor 1012 has a total amount of 100 euro.
    60 % should be paid to account 1 (=60 euro)
    40 % should be paid to account 2 (=40 euro).
    Even I am trying to find the solution for the same requirement?
    Kindly reply/
    Regards,
    Sravan

  • Clearing between customer and vendor invoice with F110 transaction

    Hello,
    I have an issue related to the functionalities of the transaction F110.
    I'd like to clear the vendor invoice with the custome invoice.
    Customer and vendor records are linked properly and the flag 'Clrg with Cust.' is set on vendor and 'Clearing with Vendor' is set on customer.
    Both the invoice are in USD and the amount in document currency of the vendor invoice is > of the amount in document currency of the customer invoice.
    I entered in both the invoice the same payment method (outgoing payment method).
    The error that I can see in the proposal log is related to the customer invoice and is:
    Payment method selection for items due now to the amount of USD          500,00
    Due items with currency USD, pmnt method  - items total is > 0
    ..none of the payment methods defined can be used for these items
    information re. vendor xxxxxxxx / customer yyyyyyy / paying company code TS01 ...
    .. payment not possible because of reported error
    According to the log of the proposal the vendor invoice can be paid.
    If I click on display proposal and double click on the customer invoice (with red light) I can read the note:
    No pymt possible because items with a debit
    Following the settings of the payment method used:
    Payment method in the country
    - Payment method for outgoing payment selected
    - Bank transf. selected
    - allowed for personal payment flagged
    - Bank details flagged
    - Document type for payment XX
    - clearing document type XX
    - Use classic payment medium program selected
    Currency allowed: This table is empty (will mean that all currencies are permitted)
    Payment method in company code
    Minimum amount: 0,01
    Maximum amount: 9.999.999.999,99
    Distribution amnt: 0,00
    Single paymentfor marked item selected
    Foreign business partner allowed selected
    foreign currency allowed selected
    Cust/vend bank abroad allowed? selected
    Bank selection control "No optimization" selected
    Can you please help me to understand the error?
    I'm afraid it is a problem with the bank but I don't understand why the payment of the vendor invoice is allowed and the customer invoice not.
    Thank you very much in advance
    Kind R

    Hello,
    I have an issue related to the functionalities of the transaction F110.
    I'd like to clear the vendor invoice with the custome invoice.
    Customer and vendor records are linked properly and the flag 'Clrg with Cust.' is set on vendor and 'Clearing with Vendor' is set on customer.
    Both the invoice are in USD and the amount in document currency of the vendor invoice is > of the amount in document currency of the customer invoice.
    I entered in both the invoices the same payment method (outgoing payment method).
    The error that I can see in the proposal log is related to the customer invoice and is:
    Payment method selection for items due now to the amount of USD          500,00
    Due items with currency USD, pmnt method  - items total is > 0
    ..none of the payment methods defined can be used for these items
    information re. vendor xxxxxxxx / customer yyyyyyy / paying company code TS01 ...
    .. payment not possible because of reported error
    According to the log of the proposal the vendor invoice can be paid.
    If I click on display proposal and double click on the customer invoice (with red light) I can read the note:
    No pymt possible because items with a debit bal.still exist; see job log
    Following the settings of the payment method used:
    Payment method in the country
    - Payment method for outgoing payment selected
    - Bank transf. selected
    - allowed for personal payment flagged
    - Bank details flagged
    - Document type for payment XX
    - clearing document type XX
    - Use classic payment medium program selected
    Currency allowed: This table is empty (will mean that all currencies are permitted)
    Payment method in company codeMinimum amount: 0,01
    Maximum amount: 9.999.999.999,99
    Distribution amnt: 0,00
    Single paymentfor marked item selected
    Foreign business partner allowed selected
    foreign currency allowed selected
    Cust/vend bank abroad allowed? selected
    Bank selection control "No optimization" selected
    Can you please help me to understand the error?
    I'm afraid it is a problem with the bank but I don't understand why the payment of the vendor invoice is allowed and the customer invoice not.
    Thank you very much in advance
    Kind Regards
    Emanuela

  • Intercompany Netting between Customer and Vendor

    Hi All,
    I have 2 queries regaring netting of customer and vendor open line items.
    1. Is it possible to have netting between vendor of one company code with customer of another company code. Is yes, how do we do that.
    2. It is very much possible to net off vendor and customer for the same company code, but manier times payment proposal ( F110) contains amount in both outgoing and incoming payments, so in order to aggregate the amount to determine final amount to be delievered or recieved we need to manually re-process the same using Edit Proposal option. Using that option we can manually do this. But is there any way in Standard SAP that this manual re-processing is not required and this could be automated.
    Kindly let me know your views on the same. Thanks in Advance!
    Regards,
    Ajay

    Hi Ajay,
    1) Yes it is possible. It is done in the same way, except Intercompany Automatic Posting - Clearing Accounts (Tcode OBYA) need to be configured. We are using clearing account inorder to achieve the same.
    a) Customer invoice
    b) Payment to customer invoice using the clearing account in comapnay code B (At this time Customer invoice in company code A will be cleared).
    C) Vendoer invoice in Company code B
    D) Clearing Vendor invoice in company code B using clearing account belongs to company code B.
    E) At this time, there will be a Debit and Credit amount on Clearing account.
    F) Clearing Debit and Credit using Automatic Clearing SAPF124.
    2) There is no standard SAP delivered rather, you will need to customize to achieve your requirement using BDC.
    Thanks
    Raghuram

  • F110 Netting between customers and vendors balance

    We are on ECC 6.0
    We want to pay net amount to Business Partners that are both our customers and vendors.
    i.e. if we owe the vendor $1000 and the customer owes us $300,  the invoices are all due for payment,  we want to issue a payment to the vendor on the net amount of $700.
    I have done the following:
    1)  put vendor number in customer master record; put customer number in vendor master record.
    2) check on the "Clearing with vendor" button in the customer master record
    3) check on "Clrg with cust." button in the vendor master record
    4) in the payment run parameter,  I put in both the vendor and the customer account number.
    5) Both the vendor and the customer have the same payment method on their master records and the payment method field is blank on the items.
    The proposal show
    1) payment of $1000 (vendor invoice) will be made
    2) $300 (customer invoice) cannot be paid because it is in debit balance.
    I read the related messages on the Forum and got the impression that Transaction code F110 can do the netting that we are looking for.  Have I missed anything?  OR do I have to manually clear the two accounts before running the payment run??
    Pls advise
    Linda Lui

    HI,
    See for both the payment of customer and vendor the code are different. proposal is checking the vendor code or customer . as these are different is too item are not grouped.
    just for the debit balance customer give the payee as the vendor code this will set is right. and payment will be grouped .
    it should work. assign some points.
    with regards
    Krishna Singareddy.

  • Auto payment program - Customer is Vendor & vis-a-vis

    Hello Experts,
    if there's a customer who is our vendor & vis-a-vis...how iwll the auto payment program help in netting the receivables with payables?

    Hi!
    You can find Indicator: Clearing between customer and vendor in Payment transaction accounting (company code data) Section of the master record.
    Indicates that during automatic payment transactions, clearing is made with the corresponding customer account, and that during manual clearing procedures, the items of that customer account are also selected.
    Procedure
    To use this function in automatic payment transactions, you have to
    o   enter the customer account number in the vendor master record,
    o   enter the vendor account number in the customer master record,
    o   select the "Clearing with vendor" indicator in the customer master record, and
    o   select the "Clearing with customer" indicator in the vendor master record.
    Regards,
    Anand

  • Payment History for vendor and Customer in AP and AR

    Hi Guys.
    Has anyone done the upload of PAyment History from vendor/Customer in AP and AR modules in FI from legacy system.
    if ye s how can we do it ? It is F-06 and F-07 transactions.
    Please let me know if there is a BAPI?
    Thanks for the quick help..
    Vijay

    Thx for the quick answer Andreas. n further discussions we found that the actual requirement is to only have the payment history data for both the vendor and the customer only as a referece. I mean they dont want to have the actual accounts posted for historical data, since we have to anyway have a conversion for the GL accounts related data afterwards.
    I hope i cleared what we want here. Do we have any way we can update the data in this case. Is there anyway we can have data stored in LIS possibly for such cases..
    Any ideas

  • Customer,vendor payment terms

    dear sap FI gurus
    my client needs payment terms to be as the following:
    if i paid the vendor within the first month with cash payment  he deserves discount of x%
    otherwise if he pay with check he pays the all amount
    the same for the customer
    and here we have payment terms as if we say  if i paid within first 15 days i deserve discount of  x% and if within 30 days i take discount of x% ,,,NOT RELATED TO CASH PAYMENT OR CHECK PAYMENT
    SO,is there a way by which we can handle this issue????
    P.S :they will not use the payment program
    Edited by: sh.m.kh on Mar 21, 2011 12:07 PM

    Define new payment methods:
    One with payment method is cash and for customer.
    Check if cash payment method is defined already.
    X% cash discount 31 days
    Similarly create new payment terms for vendor without any payment method:
    15% cash discount 15 days
    X% cash discount 30 days

  • Possible to parking payment entry ( Ex.vendor payment and customer payment)

    Hi Masters
    Are you possible to parking payment entry , payment  paid to vendor and payment received from customer if there any configuration or guide me how to parking payments.
    Regards
    Selva

    Hi Javeed,
    I thought wrongly you understand my question, Normally parking for sales invoice (T.code: F-22 Or FB70) purchase invoice (T.Code.F-43 Or FB60), General expenses entry (T.code: F-02). Normally the above documents park T.Code: FBV0,
    my question is  payment paid to vendor (T.Code: F-53) and payment received from customer (T.code: F-28), payment entry we can possible to parking.
    If possible what T.code? or any configuration there tell me.
    Thanks & regards
    Selva.

  • Payment/Receipt Tables for Customer/Vendor

    Hi Experts,
    Can anybody tell me that in concept of Customer/ Vendor , what are the table and fields to refer for Invoice Amount as well as the Amount they have paid/received in Local Currency?
    I am struggling with the tables but I have not yet find out the names for Payment Amount and Invoice Amount.
    Your help will lead me to complete my task
    hanks a bunch in advance.

    Hi,
    USe these tables.
    KNB1,
    LFB1,
    BSEG,
    REGUH,
    REGUP.

  • Payment run for vendor F110

    hi Friends,
    i am doing payment run for one vendor in F110. i am making payment by company code 2001(centralized payment system) for company code 2010. but it throwing the error that "company code 2001/2001 do not appear in proposal 07/20/2007 ABC1". here ABC1 is the identification i given for this payment run.
    if i run payment for other vendors it s running with same set up.
    Did any one faced this problem before that. can you please help me.
    this is very urgent, i have to answere to the client.

    Hi,
    Mostly it will relate to the next posting date u wud have mentioned.
    To know the correct reasoon, u can check the payment  & Proposal logs
    Suppose u run the APP twice in the same day, this error is frequent.
    Regards.
    Sridevi
    <i>* Pls. assign points, if useful</i>

Maybe you are looking for

  • Firefox crashes on loading; it's trying to restore a previous session. Can't retrieve crash report.

    When I try to open Firefox, I briefly see the program trying to open -- the address line says "restore session." Then it crashes. I get a screen saying "We're sorry" "Firefox had a problem and crashed. We'll try to restore your tabs and windows when

  • Table Background in CSS Layout

    I am updating a website using the Two Column Fixed Header and Footer layout.  Please see http://www.ellingtonridge.org/ERCC_newsite/. I used a graphic for the Body background. I want to enter a small table to hold calendar links in the right sidebar.

  • 23tm Multiple Monitors Touch Capability

    Me Again!! Having asked on this forum, I bought the two 23tm monitors to expand my Acer 571 laptop into a quasi desktop. I am using a Startech USB dock for the extra video ports (USB3SDOCKHD) which gives me a DVI and an HDMI output, thus providing di

  • Fixed assets addon - question about items...

    Hi, Does an asset item has necessarily to be inventoried ?? If so, this is not logical to see them in the Audit Report.... what do you think about that ? thanks, Luce

  • Headset configuration to use in trak

    Hello, i?m Daniel. I have an Audigy 2 zs platinum pro. I first i was just trying to get the headphones and micro to work independently to the speakers. I wanted to use Skype and listen to music at the same time. At that point i discovered the soundca