F110 - several bank accounts for the vendor,which one is retrieved by SAP?

Hi gurus,
When using data medium exchange in transaction F110 for a customer (or a vendor) that has several bank accounts in the customer (vendor) master record, which one amongst those accounts will be retrieved by the system ?
Ronan
Edited by: Ronan LEGUELLEC on Nov 20, 2008 3:58 PM

Each bank in vendor master is linked to Partner Bank Type (BnkT) field.  One of these values is entered in header (Payment tab), while entering vendor invoice in the system.  APP picks the bank (in vendor master record) linked to the partner bank type key entered in the vendor invoice.

Similar Messages

  • System not allowing to select two bank accounts for the Edit proposal F110

    Hi
    I have created one house bank and two bank accounts with two seperate check lots.
    I have assigned two varianats with seperate check lots in the payment medium tab in F110.
    I posted one payment run with one accout. when i am trying payment run for two accounts,in the Edit proposal reallocate tab I tried to assign two accounts for two invoices each one, but system is not allowing to assingn the 2nd bank account in the Vendor invoice. I assign this bak account in the Vedor master also. Please help
    Prabha

    Hi,
    If you are trying to post for a single payment method to different account id's for the same currency, then system wont allow this combination.
    You need to check the same in FBZP under Bank determination.
    Make sure, if payment method is same and you need to post to different account ids then the second account id must have a different currency.
    This is a basic requirement from SAP side.
    Check the same
    Regards
    srikanth

  • System not allowing to select two bank accounts for the proposal documents

    Hi
    I have created one house bank and two bank accounts with two seperate check lots.
    I have assigned two varianats with seperate check lots in the payment medium tab  in F110.
    I posted one payment run with one accout. when i am trying payment run for two accounts,in the  Edit proposal  reallocate tab I tried to assign two accounts for  two invoices each one, but system is not allowing to assingn the 2nd bank account in the Vendor invoice. I assign this bak account in the Vedor master also. Please help
    Prabha

    Hi
    I have created one house bank and two bank accounts with two seperate check lots.
    I have assigned two varianats with seperate check lots in the payment medium tab in F110.
    I posted one payment run with one accout. when i am trying payment run for two accounts,in the Edit proposal reallocate tab I tried to assign two accounts for two invoices each one, but system is not allowing to assingn the 2nd bank account in the Vendor invoice. I assign this bak account in the Vedor master also. Please help
    Prabha

  • Why charged me twice for the same item? They have withdrew money from my bank account for the second time about half an hour later after the transaction was completed leaving me overdrawn.

    Why charged me twice for the same item? They have withdrew money from my bank account for the second time about half an hour later after the transaction was completed leaving me overdrawn.

    Hi Benjamins,
    I've checked your account—you have two ExportPDF subscriptions. One placed on October 20 2013, and the other placed on October 11 of this year. So, you were probably charged the auto renewal for the subscription placed in 2013, and then the new charge for this year's order.
    Please Contact Customer Care so that an agent can help get things situated for you. There's no reason to have two subscriptions to the same service, so an agent can help you cancel one, if you'd like.
    Best,
    Sara

  • HT201209 Why if I have money in my apple account, having redeemed a voucher, does my iPad still try to charge my bank account for the music I am trying to purchase?

    Why if I have money in my apple account, having redeemed a voucher, does my iPad still try to charge my bank account for the music I am trying to purchase?

    Hi backpacker1952,
    Thanks for visiting Apple Support Communities.
    If you already have an iTunes Gift balance on your account, you can browse and buy music like you would if you were paying with a credit card. You may find the information in this article helpful:
    How to browse and buy content from the iTunes Store
    http://support.apple.com/kb/ht1879
    This article explains how to view your current balance in iTunes:
    iTunes Store: iTunes Gift balances
    http://support.apple.com/kb/ht5035
    You use the Redeem link when you want to redeem an iTunes Gift (like an app someone purchased for you) or add an additional iTunes Gift Card to your account. See this article for more information:
    Redeeming iTunes Gift Cards and content codes
    http://support.apple.com/kb/HT1574
    All the best,
    Jeremy

  • I need the Log Report for the Data which i am uploading from SAP R/3.

    Hi All,
    I am BI 7.0 Platform with Support Patch 20.
    I need the Log Report for the Data which i am uploading from SAP R/3.
    I extract the DATA from R/3 into BI 7.0 DSO where I am mapping the GL Accounts with the FS Item.   In the Transformation i have return a routine on the FS Item InfObject . I am checking the Gl code into Z table for the FS Item .
    I capture the FS item from the Z table then update this FS item to Infobject FS item.
    Now i  need to stop the Data upload if i do not find the GL code in the Z table, and generate report for all GL code for which the FS item is not maintained in the Z table.
    Please suggest.
    Regards
    nilesh

    Hi.
    Add a field that you will use to identify if the GL account of the record was found in the Z table or not. Fx, create ZFOUND with length 1 and no text.
    In your routine, when you do the lookup, populate ZFOUND with X when you found a match (sy-subrc = 0) and leave it blank if you don't find a match. Now create a report filtering on ZFOUND = <blank> and output the GL accounts. Those will be the ones not existing in the Z table, but coming in from your transactions.
    Regards
    Jacob

  • Several bank account for BP

    Hi,
    Our BPs have several Bank accounts:example
    1. one Bank account for company code 1
    2. 2 Bank accounts for company code 2 (or different sales area)
    we download the BP from CRM to R3 but want to make sure that in R3 the correct account will be use.
    what should we do? how will we "connect" the right account to the right company code /sales area?
    Thanks

    Hi,
    The solution for this would be, that you use Partner Bank type to enter the company code in that field in vendor master data.
    Suppose if one Vendor has transactions with 2 company codes, then you will have two line items entry in bank details and in Partner Bank type you can maintain, company codes as applicable to the Bank Accounts, and in BTE 18010 (PAYMENT PROGRAM: Individual bank determination), you can write logic as to which Bank Account to be picked while making payment depending upon which Company code you are paying from..
    Regards,
    SAPFICO

  • Single Payment through multiple banks/accounts for multiple vendor invoices

    Hi,
    In R12, is there a way to pay through different Bank Accounts for different supplier invoices in a single go?
    I assume, we can do so by creating a PPR, and then assigning payer bank account for each invoice before creating payment instruction.
    However, we are looking for a single template setup which can have multiple bank accounts tied to different Pay Groups, and based on invoice pay groups the system automatically selects he bank accounts while creating the payment file.
    E.g. We have Inv01 in OU1 with Currency USD, Paygroup USD_PAY, Inv02 in OU1 with Currency EUR paygroup EUR_PAY, Inv03 in OU2 currency USD paygroup USD_PAY & Inv04 in OU2 currency EUR paygroup EUR_PAY. We have seperate Bank Accounts for each currency say EUR_BANK, USD_BANK
    Can we create a single template such that for paygroup USD_PAY, bank account USD_BANK can be set up and for paygroup EUR_PAY, EUR_BANK can be setup, so that when we create payment file, we can have them created simultaneously for USD_BANK (Inv01 & Inv03) & for EUR_BANK (Inv02 & Inv04)
    Appreciate if someone can share their experience/thoughts
    Ashutosh

    Hi,
    have a look at this thread:
    Vendor with Multiple Bank Account in MIRO
    Best regards.

  • Two bank accounts for travel expenses

    Dear all.
    We would like to have two bank accounts for the travel expenses for one employee.
    For example:
    $ 500.00 of the Travel Expenses should go to bank account 12345
    The remaining amount of  the Travel Expenses should go to bank account 67890
    I can enter one bank account in Infotype 0009 for Travel expenses, but it seems the field u201CStandard valueu201D doesnu2019t work for subtype u201CTravel Expensesu201D.
    SAP creates only one payment with transaction PRDX.
    Does someone know if itu2019s possible to create to payments for one employee?
    Thanks.
    Edited by: Fluff on Feb 14, 2012 10:22 AM

    It is the case that PRDX is designed to take the valid IT009 account defined at system date  - see here:
    The bank data is read with the TRMAC Makro rp-provide-from-last:
            rp_provide_from_last p0009 '2   ' sy-datum sy-datum.
            IF pnp-sw-found NE '1'.
              rp_provide_from_last p0009 '0   ' sy-datum sy-datum.
    PRDX is designed to handle only one account (note  90320 gives more info)

  • F110 Payment to vendor with several bank accounts

    Hi to all,
    I have a vendor with 2 bank accounts, each one for its subisidiaries .
    We pay this vendor's head office via transfer and to do so, use transaction F110. Depending on the subsidiary, our vendor wants us to use one account or the other.
    All open items go under the head office number, my question is: how do I assign the right bank account to the open items?
    I tried with the alternative payer funcionality but did not work.
    Can you please help?
    Cheers

    The BVTYP is free. If a bank account accepts only one currency, the easiest is to take this currency as BVTYP in LFBK. You should have your own rules for the others cases: for example BVTYP 'EUR' for euro and 'OTHE' for all others currencies. You should use substitution with user exit. If you don't know the technique, please search in forums with keyword 'RGGBS000'.
    The user exit should do the following (for example):
    1) search in LFBK one row with LIFNR = BSEG-LIFNR and BVTYP = BKPF-WAERS.
       if found then BSEG-BVTYP = BKPF-WAERS
    2) if not found, search in LFBK one row with LIFNR = BSEG-LIFNR and BVTYP = 'OTHE'.
       if found then BSEG-BVTYP = 'OTHE'.
    3) if not found, do nothing; BSEG-BVTYP remains empty.
    - With such an exit, you have to fill BVTYP in LFBK only when the suppllier has more than 1 bank account.
    - You should also decide whether BVTYP should be ready for input or not; if yes you should decide what has priority: user's input or substitution (but I think that leaving the field ready for input and overwrite it in substitution has no sense and is dangerous, so in this case the substitution should do nothing for non empty BSEG-BVTYP).

  • Grouping Credit Entry in Bank Account for Vendor Payments using Pay Wizard

    Dear All
    We are currently testing Payment Wizard for BACS Payments to Vendors . We have successfully posted payments to Vendor Accounts and to the Bank Account in GL. However we note each Vendor payment is credited to the Bank Account individually even though the Bank will take the payment in one amount for the Payment File Total.
    Is it possible to credit the Bank Account with the Total Payment Run value as one amount only so that the credit matches exactly the manner in which the Bank will take the payment ?
    I realise that we could process BACs through a dummy GL Account for the Bank and journalise to the Bank Account in total but would prefer to avoid this option.
    Regards
    Seán Lyons

    Dear Seán,
    Welcome you post on the forum.
    Even though it is not ideal, you may not be able to avoid such additional clearing account since the way B1 works can not be changed.
    Thanks,
    Gordon

  • Can multiple accounts for the same vendor be bookmarked?

    I have home and office accounts for certain vendors (utilities, etc) and have tried bookmarking them under "On Line Accounts." However, I am not able to do so. When I enter one for home with, say, dteenergy.com (same problem with others like AT&T), that account works fine. When I try to enter the dteenergy account information for home, that works fine. However, when the second account is entered it replaces the first account.
    I have not tried it, but I could try creating a second on line account, and will do so after I finish this inquiry. However, I had hoped to get everything into a single folder on the bookmark bar.
    Thank you.

    There are many ways of saving a bookmark, most don't permit the same exact page to be saved as a bookmark more than once - that's a feature in Firefox 3+ versions. If you "drag" the web site image ''(known as the Favicon)'' from the Location bar or from a Tab into your bookmarks, you can get around that "feature". You can "drag&drop" the Favicon into the Bookmarks Toolbar (can be tricky at times), or to the Bookmarks menu item on the Menu bar - the drop-down will open, or into the Bookmarks Sidebar (the method I use) - {Ctrl + B} to open the Bookmarks Sidebar

  • Several bank accounts

    Dear all,
    It's possible to enter several bankcodes/bankaccounts into the BP master.
    In my case the BP is a vendor and he will send his invoices in several currency's which will be the trigger for us to pay this invoice to a different bankaccount of his.
    How can I change the bankaccount for a particular AP invoice and not by changing the standard account in the BP master?
    Please advise.
    Thanks in advance.
    Carl, The Netherlands

    Hi Jimmy,
    Thanks for the quick answer.
    My vendor was set to mult-currency so invoices can be created in different currency's and that's working fine.
    However this vendor has different bankaccounts which we have add in the BP master Payment terms tab.
    Next to the bankcounty field we can use a small button which will lead to the bank of the vendor and there's a possiblity to add more bankaccounts at the same bank.
    So it looks like we can add several bankaccounts there for a vendor.
    Also if there are more bankaccounts, the system will always set automatically one as a standard to use for this vendor to pay to at the payment wizard.
    I think that a payment for a vendor will always be transferred to this standard bankaccount, unless you change it in the BP master before paying, and that there will be no choice to choose a different vendors bankaccount in the payment wizard to pay a single invoice to?
    Is this correct?
    Best regards,
    Carl

  • Updating multiple bank details for each vendor, through LSMW

    Hi,
    We need to do a massive update on our vendors bank details, and I'm trying to do it via LSMW. I have two problems.
    Each vendor may have several bank accounts. In XK02 they appear in a list, and in LSMW the bank detail fields are inside arrays (for example the bank key on first line would be LFBK-BANKL(0)), but I don't know on what lines are stored the banks I want to update. Is it possible to determine the index n° of the array (line number) just by reading the table LFBK ? I can't go into XK03 for every vendor to check at which line the bank details are stored.
    Second, I don't know how to update a different line each time with a single batch input recording. When I record a LSMW batch input, I have to chose a specific field to update, which includes the line n°. How can I specify the line n° as a variable part of the data? Or alternatively, I could record the batch input to update enough lines for each vendor (say 5) and only provide data for the the lines to be updated, but I assume the lines without data would get deleted when the batch is run?
    Please help.

    Dear John;
    You may create your LSMW with a vendor which has n banks (say 5). You will write 5 rows of bank info. LSMW will create new field names for these areas. 01-02...
    LFBK-BANKS(01)                 TR
    LFBK-BANKS(02)                 tr
    LFBK-BANKL(01)                 0067-00002
    LFBK-BANKL(02)                 0067-00003
    LFBK-BANKN(01)                 1234
    LFBK-BANKN(02)                 1235
    you will prepare your excel for this purposes after then.
    I hope it will help.
    BR.
    Aydın

  • F110 - Hide Bank Account Info in Proposal

    We are using F110 to generate payments for Employee Vendors.  The proposal displays the employees Bank Account Information.  Is there any user exit or Badi or any other way to suppress the Bank Information?

    Hi Priya,
    You need to create external payee and instrument, see here:
    TCA MIgration
    Regards,
    Gareth

Maybe you are looking for

  • My number was sold while I was using it...here is ...

    You: The phone number I purchased a few weeks ago is ringing directly to a pool cleaning company... it should be forwarded to xxx.xxx.xxxx the number I bought is xxx.xxx.xxxx Mark A: We understand that you were having problems with Skype. We are more

  • UDP when adding Server 2012 R2 to a Small Business Server 2003 Domain

    So we have a Small Business Server environment. Migrating to Windows Server 2012 R2 VMs. Currently the entire old SBS environment is still in existence. I've added 2nd 2012 DC, 2012 RDS VM, and a Server 2012 File Server as well that will host the UDP

  • Very Fast Rendering to sudden Painful Crawl

    Both AE and AME updated to most recent CC 2014 versions ~ I've been attempting to render-out a 8-minute composition that starts to encode in Adobe Media Encoder at a gangbuster's pace, only to stop to an almost insta-crawl. 75% of the encoding in AME

  • Array of references to references to objects? Skip lists...

    I'm trying to hammer out a SkipList ADT by tomorrow night. The structure of my SkipList is basically: A Skip list has a reference to the first SkipListNode. Each SkipListNode has an array of links, where a link of level 1 links to the next node that

  • Creating new template using existing template

    Is anyone aware of a way to create a new project template using an existing template? I am testing a few scenarios and want to quickly be able to create a template without setting one up from scratch. I tried a few ways but could not find a way to do