FICA outgoing payment cheque from FI

Dear Experts,
I have a query like how we can generate FICA Outgoing Payment Cheque (for eg. Refund of Security Deposit) from SAP FI.
My client requirement is like that they want all the outgoing payments from FI only.
So what are the configuration I need to do for getting ISU cheques from FI. I did all the configuration of cheque printing in FICA and able to take the cheque printout also from there itself but when we are going to transfer the ISU data to R/3, cheque numbers are not reflecting in R/3 data.
Just because of this problem they wanted all the outgoing payment from FI only.
Any suggestion on this query will be highly appreciable.
Regards
Kumar
Moderator note - thread locked, no research done.  Please search forum before posting
Creating a refund request in CCS and printing that refund check FI-AP
Edited by: William Eastman on Dec 26, 2011 5:30 PM

Hi renjith,
Please post your question in the Printing forum. This is the development forum.
Regards,
Vítor Vieira

Similar Messages

  • Outgoing Payment in FICA( Cash & Bank)

    Hi All,
    Can anyone give idea about the above subjects.
    Since i know how to post incoming payments.
    In case if the customer paid overpayment or payment of security deposits.
    Could anyone please give procedure with T.Code for this.
    Thanks for your help in advance.
    Regards,
    RAM.

    Hello,
    In FICA, You make the Payments to the customers either
    1. You have collected excess money from him
    2. You have charged him excessively.
    3. You have adjusted his bill resulting in payment to the customer
    4. You want to pay him back the securtiy deposit
    5. The customer is moving out ....net result being you owe him the money
    6. Other reasons resulting in payment to the customer
    In all the above cases, you have to REFUND the money to the customer....either through Bank or by cash or by Cheque...<it depends on your company policy>.....
    For refund by Bank/ Cheque you can use T-Code FPY1.
    For refund by Cash you can use either FPB0 or FPCJ <again depends on your project/co policy>
    For payments by Bank /Cheque, you need to do the following settings
    1. Define Own bank details
    2.Define Bank user numbers for Payment medium
    3.Define Payment methods <FQP1>
    3.Define specifications for paying Co cd <FQP4>
    4.Define accounts for payment program <FQC0: Posting area 1061>
    5.Maintain bank selection
    The path for above config is IMG\FICA\Business Transactions\Payments\Incoming outgoing payment creation.
    For configuration of Cr Card payments,<Posting by FPB0>, You need to configure in IMG\FICA\Business Transactions\Payments\Payment cards\ Define Accounts for Payment card Institute & Define Specifications for Posting Settlement Document
    For configuration fo Cash desk payments<FPCJ>, you have make the settings in IMG\FICA\Business Transactions\Payments\Processing incoming and outgoing payments Cash desk Cash journal
    Hope this helps
    Rgds
    Rajendra

  • Discount in Outgoing Payment  and Cheque for payment PLD

    Hi,
    Using SBO2007A PL30
    I have tried to find whether there are system variables for amount outstanding and discount which show amounts in foreign and local currency.
    I can't find any references in the .xls document how to use system variables in SBO 2007., and strangely there is no reference in that document to the system variables which already exist in the in- built layouts
    Cheque for Payment
    - total amount paid ( variable 97 )
    Outgoing Payment
    - posting date ( variable 202)
    - Doc Ref ( var 200)
    - Your Ref ( var 201)
    - amount paid ( var 63)
    This leads me to suspect that system variables for outstanding amount and discount may well exist.
    In the meantime I have had to do this using references to database fields Outgoing Payments - Invoices: Discount Amount and Outgoing Payments - Invoices : Amount before Discount with formulae to determin whether the document is in local or foreign currency.
    A further downside to this is that a credit memo is displayed from the latter database field without a negative sign
    Does anyone have any suggestions here?
    Thanks

    Managed to figure out most of it but for the record I have discovered an additional 4 system variables in use for paid document details at line level. Here is the complete list so far:
    outgoing Payment
    PostingDate 202
    our Ref        200
    your Ref      201
    o/S Amt       ?     ( used formula based on db fields instead)
    Discount       ?    (  used formula based on db fields instead)
    Payment       63
    Cheque for Payment
    posting Date  104
    our ref            101
    your ref          100
    O/s amt         96
    Discount           ? ( use formula :difference between 96 and 97)
    Payment        97
    If anyone can supply the missing variables if they exist, I'd be grateful.

  • In outgoing payment when cheque number issue ..

    Hello Experts,
    When I enter outgoing payments and enter cheque number in PAYMENT MEANS by selecting MANUAL cheque option and save it. after saving it gives some other Ch Number which is different from what I entered.
    and place manual cheque number in Ref. 3 in JE.
    Please help ...
    Regards,

    yes right in Ref 3 it is correctly entered. but in Payment means where it was entered manually, has been modified and system is giving its own number.
    But that number which is being entered by system, is in sequence in next entry system gives is the next number.
    just for information: I am getting problem only the document which were saved as draft. and now being used to enter in the system.
    and these draft were saved in system when system was on version SBO 2005, now we are using 2007A PL42.
    Regards,

  • Cannot View Doc from Outgoing Payment under Approval Procedure messages

    Hi Experts,
    Both Originator and the approver cannot view the some of the pending and rejected documents when they are trying to edit the docuemtns from the approval procedures messages and approval decision reports.
    In effect, the approval cannot approvbed the documents as he cannot check the document for approval. The documents can be viewed from the payment draft dopcument. It will be tedious for the approval to go back and forth to draft document and approval decesion report.
    I already check the authorization for outgoing payment they both have full authorization. I can view the document as a super user. I need to know what other authorization do I need to check
    Both originator and  approver has full acess on outgoing payment since some of the documents can be viewed som3 documents cannot bew viewed.
    Please help. We are in the data catch up mode for October 2009.
    We are using 2007B PL10
    Regards,
    Amy
    Edited by: Sandra Callanta on Oct 20, 2009 11:06 AM

    Hi
    Login with userid who will approved the document
    Go in Admin > Approval Procedure > Approval Decision Report >
    Select first check box " No Decision Yet"
    select the pending one and approved it > update > ok
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    Kevin

  • Part Paid Invoice Missing From Payment Wizard / Outgoing Payments

    Hi,
    Having a bit of an issue with a purchase invoice on SAP B1. In brief:
    The invoice was posted fine, then they paid 3 invoices but the total was short. The user allocated payment manually using outgoing payments to the 3 invoices, but partially paid the 3rd. This left an outstanding balance of 4,500 EUR
    The user ran a payment wizard this morning and the invoice was picked up, along with any recent invoices for supplier, and showed the outstanding balance. The payment wizard was saved, not executed.
    Upon review, the payment run was canceled so it could be re run with specific suppliers / invoices selected. However, the part paid invoice is now not showing on the payment run. Likewise, if you try to manually allocated payment for the supplier, it does not give the option to pay anything on the invoice, just all other open documents.
    The invoice is still open, and the amount due on the BP balance is the amount o/s not the full amount which is correct.
    I have tried recreating the issue on a test system of our own and a backup of their database and cannot get the same problem.
    Any ideas would be of great help becuase I have searched the service portal and forums and can;t find anyone with a similair problem and running out of ideas myself.
    Thank you in advance
    Martin

    Hi Martin,
    Sometimes when cancelling payment and reconciliations there are values in the tables opch and pch6 that are not reset correctly and then appearing as fully paid.
    Check if the Invoice is returned from this query:
    select 'AP Invoice' as 'Document Type', docentry, docnum, cardcode, t0.transid, doctotal, paidtodate, balduedeb - balduecred as 'JDT1 Balance Due'
    from opch t0 inner join jdt1 t1 on t0.transid = t1.transid
    where doctotal - paidtodate = 0 and balduedeb - balduecred != 0
    and shortname != account
    Let us know how this works out. The query only checks opch you can check the paidtodate field in pch6 as well.
    Jesper

  • Post Dated Cheque for Outgoing Payment

    Dear All Experts,
                When i Create outgoing payment for post dated cheque then it will be effected in our current Bank Account Balance.
            So, How to create outgoing Payment for Post dated Cheque? Plz. Give me the Solution .
    Thanks,
    Arabinda Pal

    Hi Arabinda Pal,
    the current balance in the CoA will always reflect the balance of all transactions, not just the transactions up to the system date.
    To make a postdated cheque outgoing payment, the dates on the payment should be that future date. As soon as you post the payment, the balance of the gl account will be affected. To see the balance of that account up to a certain date, clickon the orange arrow to get to the account balance window. In the criteria, tick By Posting Date & in the 'to' field, enter the date until which you want to see the transactions. Scrolling to the bottom of the window will give you the balance of that account at that date.
    All the best,
    Kerstin

  • Copying Comments from Outgoing Payments form to its checks for payment

    Hi!, is there a way to pass the comments from the Outgoing Payments to the comments of the check for payment of the same outgoing payment?
    We want to see in the checks for payments comments field, the same comment from the outgoing payment which the check was originated.
    Thank you!

    If you are talking about bringing the Outgoing Payment comments to the Check Journal Remarks field, you could do it using a formatted search.  Save the following SQL and link the query to the Journal Remarks field
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  • Is Cheque No editable in Outgoing Payment

    While making Outgoing payment, if Cheque No is wrongly entered by the User, then how do we correct it, other then the option of Reversing the transaction................
    Can anybody highlight and give me the solution as my user has by mistake wrongly entered the Cheque no in many cases.....

    have not set the Cheque No in the House Bank Accounts master, so how can we use Document printing for Cheques because it doesnt ask for Cheque No before printing.
    dear sanjay,
    Even if you have not set the chq number in house bank account master still SAP will ask you for chq num. This happens when u actually hit the print command in the checks for payment window. another window opens where u can enter the chq num.
    Now relating to user mistake, what u can do is go to check for printing window, select print on blank paper first, it will print the check and will open a window where u will be able to update the coreect check number. Also look at the bottom right corner there you can give certain option relating to printing status. Click update and go back to the check for printing window, the check number will be updated. Now u can uncheck the "print on blank paper option and print it on the cheque stationery.
    Also remember you can also void the check thru void check for payment window.
    Hope u got the answer
    Reward points if helpful

  • Stop Outgoing payment from particular users if BP credit balance is less

    Hi Experts
    Please help me with the following issues
    I want to be able to stop 3-4 specific users from generating outgoing payment if the following applies
    1. the BP ledger Balance is Less than outgoing payment i.e if there is Rs. 100 credit balance then those users cannot make outgoing payment to BP more than Rs. 100
    2. they also cannot make outgoing payments more than a set limit. for ex. if i say that user A has Rs. 50 as limit then he can generate only those payments where the outgoing payment amount is MAximum rs.50 even though the ledger balance is Rs. 150
    I feel that this can be done through sp_transaction notification please help me with the SQL code for the same 
    thanks
    regards
    Pradipta

    Please use the following code as a guideline and test it.   In the code below the first select statement gets the User Code of the user adding the Outgoing Payment.  this is your starting point to validate this transaction further.
    In the first IF statement I am checking if the user code = 1 and checking the outgoing payment total against the BP balance and if it is greater message will be displayed.
    In the Second if I am checking if the Outgoing payment amount is great than 100 and displaying a message.
    This code does not use your current limit stored at the user table but has been constructed based on your future interest to hardcode values.
    Please get the user codes corresponding to the users by running this query either in SQL or in SBO
    SELECT T0.UserID, T0.U_NAME AS 'User Name' FROM  [dbo].[OUSR] T0
    SBO_SP_TransactionNotifiation code is below
    IF @object_type = '46' AND @transaction_type = 'A'
    BEGIN
         declare @usercode int
        select @usercode = t0.usersign
        from [dbo].[ovpm] t0 where t0.docentry = @list_of_cols_val_tab_del
         if @usercode = 1
         begin
              if exists (select t0.docnum from [dbo].[ovpm] t0
                  inner join [dbo].[ocrd] t1 on t0.cardcode = t1.cardcode
                    where t0.doctotal > -1*t1.balance AND t0.docentry = @list_of_cols_val_tab_del)
              begin
                   select @error = 1, @error_message = 'Payment total cannot be greater than BP balance'
              end
         end
         if @usercode = 5
         begin
              if exists (select t0.docnum from [dbo].[ovpm] t0
                  inner join [dbo].[ocrd] t1 on t0.cardcode = t1.cardcode
                    where t0.doctotal > 100 AND t0.docentry = @list_of_cols_val_tab_del)
              begin
                   select @error = 1, @error_message = 'Payment total is greater than permitted limit'
              end
         end
    END
    All the very best
    Suda

  • Triger value from outgoing payment to journal entry

    Hi all,
    I add an UDF in outgoing payment form ( system form)for example i call it area. In the same time i also add an udf with the same name ( area) in journal entry form ( system form). When I entry data in outgoing payment, i also entry the area field in out going payment. for example i fill "Boston" in area field in Outgoing payment. How can i show it in journal entry also? As we know in journal entry , we don't need entry  the data anymore. What i fill in outgoing payment , also will post in journal entry. I just want my area value also can post in journal entry.
    thanks for the help

    Hi Janos,
    thanks for your posting in my thread. Actually i have make my own codes for this issue. i don't know if my codes is similar with your post.
    If pVal.ItemUID = "1" And pVal.EventType = SAPbouiCOM.BoEventTypes.et_ITEM_PRESSED And oForm.Mode = SAPbouiCOM.BoFormMode.fm_OK_MODE Then
                        ' If pVal.Action_Success Then
                        Debug.Print("OJDT")
                        Try
                            Dim JEDoc As SAPbobsCOM.Documents
                            'Dim headerCode As Long
                            oCompany.StartTransaction()
                            'headerCode = LastEntry("OIGE")
                            JEDoc = oCompany.GetBusinessObject(SAPbobsCOM.BoObjectTypes.oJournalEntries)
                            Dim docnum As SAPbouiCOM.EditText
                            Dim docnum1 As Integer
                            docnum = oForm.Items.Item(3).Specific
                            docnum1 = docnum.Value
                            Debug.Print(docnum1)
                            JEDoc.GetByKey(517)
                            Dim area As SAPbouiCOM.EditText
                            area = oForm.Items.Item("tArea").Specific
                            JEDoc.UserFields.Fields.Item("U_ST_Area").Value = area.Value
                            JEDoc.Update()
                            oCompany.EndTransaction(SAPbobsCOM.BoWfTransOpt.wf_Commit)
                        Catch ex As Exception
                            If oCompany.InTransaction Then oCompany.EndTransaction(SAPbobsCOM.BoWfTransOpt.wf_RollBack)
                            SBO_Application.SetStatusBarMessage(ex.Message, SAPbouiCOM.BoMessageTime.bmt_Short, True)
                        End Try
                        'End If
                    End If
    so , i get business object for the journal entry in outgoingpayment. the problem is i still confuse with the getbykey method.
    I must fill the getbykey with a value which the value is also link to Journal Entry. I fill the value with docentry in outgoing payment. but it's still problem.
    thanks in advance
    best regards
    bodhi86
    ( i'm sorry with my bad english)

  • Can FI-CAx be used for making outgoing payments to business partners

    Hi All,
    Can we use the installment plan in FI-CA for the outgoing payments to business partners. Our company has lot of lease contracts and these contracts have payments due to be paid on a monthly, quarterly, semi-annual, and annual basis. All these lease contracts are managed in SAP Real estate Flexible objects. We want to use FI-CAx for making payments to these contracts and hence we are looking for integration between FI-CA and RE-flexible objects.
    From what I heard FI-CA is a receivables module and is not best suited for payables, so please let me know if we can use the outgoing payment plan and installment plan in FI-CA for making payments to business partners.
    This is a bottleneck in our implementation. So please help me asap.
    Thanks in advance. Points will be awarded to all the useful solutions.
    Santosh

    Hi Santhosh,
    FYI my answers below
    Can we use the instalment plan in FI-CA for the outgoing payments to business partners.
    u2022I would say Yeah. ofcourse there is a way to do it provided you have created existing OI in Real estate in FI-CAX. This is because, weu2019d Refund money to the customer. In the same token I do not see any problem in paying monies to them!!!!
    u2022You need to create your RE-FX contracts unto FICA as Contract Accounts <1:1 ratio>.
    Our company has lot of lease contracts and these contracts have payments due to be paid on a monthly, quarterly, semi-annual, and annual basis. All these lease contracts are managed in SAP Real estate Flexible objects. We want to use FI-CAx for making payments to these contracts and hence we are looking for integration between FI-CA and RE-flexible objects.
    u2022Assuming that you have your RE-Fx data unto FICA, next step is to configure Instalment plans < monthly, quarterly, semi-annual, and annual >.
    u2022Next you create Instalment plans for the contract accounts <FICA> as required.
    u2022Now, if you want to pay the amount, you need to attach outgoing payment method in Contract Account, Configure your Payment program.
    u2022Now run your Payment Run <FPY1 =4.72; FPYS = ECC>.
    u2022All the OI would be cleared. If you want to send the file to the bank, you can do so or you can also issue cheques.
    From what I heard FI-CA is a receivables module and is not best suited for payables, so please let me know if we can use the outgoing payment plan and instalment plan in FI-CA for making payments to business partners.
    u2022Look above.
    OI = Open Item
    Other points you need to consider:
    1. Are the amounts in RE-FX consistent <equal through out the installment plans>?
    2. Do you want to create separate Installment plans in FICA?
    3. If yes, above should be helpful.
    4. If not, identify an Interface between RE-FX and FICA.
    5. What are your plans to close the Contracts in RE-FX once all the Installment plans are being paid in FICA?
    6. Do you want to establish an Interface between RE-FX and FICA so that data would be transferred bt them automatically?
    7.Is point no 6 one way or 2 ways <i.e RE-FX to FICA and vice versa>
    8. What is the volume and frequency?
    9.Other points if any
    Does this helps?
    Rgds
    Rajendra

  • Query for outgoing payment

    Hi All,
             i need a report for the outgoing payment where i could display the account details, the doc remarks, row total and also the payment mode, whther by cash or by cheque. I have a query but i dont know how to get the mode of payment and also how to get the row total??
    SELECT T0.[DocNum], T0.[DocDate], T1.[AcctName], T1.[Descrip], T0.[CashAcct], T0.[CheckAcct] FROM OVPM T0  INNER JOIN VPM4 T1 ON T0.DocEntry = T1.DocNum WHERE T0.[DocDate]  = [%0]
    How do i get the row total and the mode of payment incorporated in the query? apart from the doc date, can i also get a selection criteria for the mode of payment as well?? Can anyone please suggest a better query??
    Thanks in advance,
    Joseph

    Try this one to start:
    SELECT T0.DocNum, T0.DocDate, T1.AcctName, T1.Descrip, T0.CashAcct, T0.CheckAcct, T0.DocTotal, CASE WHEN T0.CashSum > 0 THEN 'Cash' WHEN T0.CreditSum > 0 THEN 'CC' WHEN T0.TrsfrSum > 0 THEN 'WIRE' ELSE 'Check' END AS 'Mode'
    FROM dbo.OVPM T0
    LEFT JOIN dbo.VPM4 T1 ON T0.DocEntry = T1.DocNum
    WHERE T0.DocDate = [%0\] AND T0.JrnlMemo != 'Cancelled'
    Thanks,
    Gordon

  • AP Outgoing Payment Query with Crystal Report

    Hi Experts, I'm trying to make query for AP Outgoing Payment followings. However, I couldn't get result of Outgoing Payment Number, TrsfrSum, CashSum, CheckSum. Is anyone could advise for this matter? Thanks,
    SELECT
    T0.DocDate as 'Posting Date',
    T0.DocNum as 'AP Invoice Number',
    T0.CardName as 'Supplier Name',
    T0.DocDate as 'Payment Date',
    T1.DocNum as 'Outgoing Payment Number ',
    T0.DocTotal as 'AP Invoice Total',
    (T0.[DocTotal] - T0.[PaidToDate]) as 'AP Sum',
    CASE
    WHEN T1.TrsfrSum > T0.DocTotal THEN T0.PaidToDate
    ELSE T1.TrsfrSum
    END AS 'TrsfrSum',
    CASE
    WHEN T1.CashSum > T0.DocTotal THEN T0.PaidToDate
    ELSE T1.CashSum
    END AS 'CashSum',
    CASE
    WHEN T1.CheckSum > T0.DocTotal THEN T0.PaidToDate
    ELSE T1.CheckSum
    END AS 'CheckSum',
    CASE
    WHEN T1.CreditSum > T0.DocTotal THEN T0.PaidToDate
    ELSE T1.CreditSum
    END AS 'CreditSum',
    CASE
    WHEN T1.TrsfrSum > T0.DocTotal THEN T0.PaidToDate
    ELSE T1.TrsfrSum
    END  'Paid To Date',
    T2.CheckNum as 'Cheque Number'
    FROM OPOR T0
    LEFT JOIN OVPM T1 ON T0.ReceiptNum = T1.DocEntry
    LEFT JOIN VPM1 T2 ON T1.DocNum = T2.DocNum
    Left Join OSLP T3 ON T3.SlpCode= T0.SlpCode
    UNION ALL
    SELECT
    T0.DocDate as 'Posting Date',
    T0.DocNum as 'AP Invoice Number',
    T0.CardName as 'Supplier Name',
    T0.DocDate as 'Payment Date',
    T1.DocNum as 'Outgoing Payment Number ',
    T0.DocTotal * -1 as 'AP Invoice Total',
    T0.PaidToDate * -1 as 'AP Sum',
    CASE
    WHEN T1.TrsfrSum > T0.DocTotal THEN T0.PaidToDate
    ELSE T1.TrsfrSum
    END AS 'TrsfrSum',
    CASE
    WHEN T1.CashSum > T0.DocTotal THEN T0.PaidToDate
    ELSE T1.CashSum
    END AS 'CashSum',
    CASE
    WHEN T1.CheckSum > T0.DocTotal THEN T0.PaidToDate
    ELSE T1.CheckSum
    END AS 'CheckSum',
    CASE
    WHEN T1.CreditSum > T0.DocTotal THEN T0.PaidToDate
    ELSE T1.CreditSum
    END AS 'CreditSum',
    CASE
    WHEN T1.TrsfrSum > T0.DocTotal THEN T0.PaidToDate
    ELSE T1.TrsfrSum
    END  'Paid To Date',
    T2.CheckNum as 'Cheque Number'
    FROM ORPC T0
    LEFT JOIN OVPM T1 ON T0.ReceiptNum = T1.DocEntry
    LEFT JOIN VPM1 T2 ON T1.DocNum = T2.DocNum
    Left Join OSLP T3 ON T3.SlpCode= T0.SlpCode
    ORDER BY 'CreditSum', 'CheckSum', 'CashSum', 'TrsfrSum', 'AP Sum'

    Hi Stephan,
    Try:
    SELECT
    T0.DocDate as 'Posting Date',
    'AP Invoice' as 'Type',
    T0.DocNum as 'AP Number',
    T0.CardName as 'Supplier Name',
    T0.DocDate as 'Payment Date',
    T1.DocNum as 'Outgoing Payment Number ',
    T0.DocTotal as 'AP Invoice/CR Total',
    (T0.DocTotal - T0.PaidToDate) as 'AP Sum',
    CASE
    WHEN T1.TrsfrSum > T0.DocTotal THEN T0.PaidToDate
    ELSE T1.TrsfrSum
    END AS 'TrsfrSum',
    CASE
    WHEN T1.CashSum > T0.DocTotal THEN T0.PaidToDate
    ELSE T1.CashSum
    END AS 'CashSum',
    CASE
    WHEN T1.CheckSum > T0.DocTotal THEN T0.PaidToDate
    ELSE T1.CheckSum
    END AS 'CheckSum',
    CASE
    WHEN T1.CreditSum > T0.DocTotal THEN T0.PaidToDate
    ELSE T1.CreditSum
    END AS 'CreditSum',
    CASE
    WHEN T1.TrsfrSum > T0.DocTotal THEN T0.PaidToDate
    ELSE T1.TrsfrSum
    END 'Paid To Date',
    T2.CheckNum as 'Cheque Number'
    FROM OPCH T0
    LEFT JOIN OVPM T1 ON T0.ReceiptNum = T1.DocEntry
    LEFT JOIN VPM1 T2 ON T1.DocNum = T2.DocNum
    Left Join OSLP T3 ON T3.SlpCode= T0.SlpCode
    UNION ALL
    SELECT
    T0.DocDate as 'Posting Date',
    'AP Credit Memo',
    T0.DocNum as 'AP Number',
    T0.CardName as 'Supplier Name',
    T0.DocDate as 'Payment Date',
    T1.DocNum as 'Outgoing Payment Number ',
    T0.DocTotal * -1 ,
    T0.PaidToDate * -1 as 'AP Sum',
    CASE
    WHEN T1.TrsfrSum > T0.DocTotal THEN T0.PaidToDate
    ELSE T1.TrsfrSum
    END AS 'TrsfrSum',
    CASE
    WHEN T1.CashSum > T0.DocTotal THEN T0.PaidToDate
    ELSE T1.CashSum
    END AS 'CashSum',
    CASE
    WHEN T1.CheckSum > T0.DocTotal THEN T0.PaidToDate
    ELSE T1.CheckSum
    END AS 'CheckSum',
    CASE
    WHEN T1.CreditSum > T0.DocTotal THEN T0.PaidToDate
    ELSE T1.CreditSum
    END AS 'CreditSum',
    CASE
    WHEN T1.TrsfrSum > T0.DocTotal THEN T0.PaidToDate
    ELSE T1.TrsfrSum
    END 'Paid To Date',
    T2.CheckNum as 'Cheque Number'
    FROM ORPC T0
    LEFT JOIN OVPM T1 ON T0.ReceiptNum = T1.DocEntry
    LEFT JOIN VPM1 T2 ON T1.DocNum = T2.DocNum
    Left Join OSLP T3 ON T3.SlpCode= T0.SlpCode
    ORDER BY 'CreditSum', 'CheckSum', 'CashSum', 'TrsfrSum', 'AP Sum'
    Thanks,
    Gordon

  • Outgoing payment methods in CRM 7 webUI is not inline with CRMC_BUAG_PAYM

    Hi,
    We have requirement to set up outgoing payment at FICA document level for refund purpose.
    Currently this is feasible using FPE2 transaction in ISU.
    However, we have the requirement to have this option in CRM 7.
    In CRM 7, the navigation of setting up outgoing payment at document level is :
    Account Balance -> Account Balance Overview -> item display -> More -> Outgoing Payment.
    But, in the dropdown of payment method in that screen, I am getting only below options.
    Outgoing Payment via Bank
    Outgoing Payment via Payt Card
    I checked the configuration of payment methods in my Country code both in CRM and ISU and there EFT, CCard and Cheque refunds are already configured as outgoing payment method. This is the configuration of CRMC_BUAG_PAYM.
    Any suggestion as how I can populate those details in this CRM 7 WebUI dropdown ?
    Thanks in advance.
    Regards
    Bodhisattwa

    Found this configuration in ISU.
    Also, refreshed the shared memory area for FICA in CRM SPRO. Now the issue is resolved and it is displaying correctly in CRM 7.

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