House bank and Bank Account creation
Hi All,
we need to migrate house bank and bank accounts from one system to another. Can anyone please lemme know if there is any bapi to create the same or any function module or a lsmw object for the same.
Regards,
GUrpreet Singh
Hi,
check:
BAPI_BANKDETAIL_CREATE
in LSMW there is standard object 0250 - Bank Data
Regards Vassko!
Similar Messages
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Hi,
Can any one tell me how to create House banks and bank accounts programatically of FI12 tcode.
Any FM or BAPI will do?
Thanks
ViswaHello Viswa,
You can use the FM "BAPI_BANK_CREATE".
Thanks,
Greetson -
Banks and Bank Accounts Conversion
Hi..
Can any one tell me whether I can use the API "ARP_BANK_PKG" for the conversion of Banks and Bank Accounts.
Thanks in Advance.
Regards,
NarenAccording to note: 395562.1, Oracle Payables Development has not released any API's for creating or maintaining bank account records.
ARCUSBAB.pls is ARP_BANK_PKG -- it's the API package that AR and iReceivables and probably other products use to create bank accounts. -
IBAN: no control with Key Bank and Bank Account
Hi,
I maintain the IBAN number via SM30 (SAP 3.1I), but there is no control between the IBAN and the corresponding Key Bank (TIBAN-BANKL) and Bank Account (TIBAN-BANKL).
This means you can enter a valid IBAN whatever the key bank and bank account number.
Ex:
BANKS BANKL BANKN IBAN
NL 019 0192331515 -> NL94RABO0192331515
NL 024 0240640764 -> NL94RABO0192331515
u2026
If anyone has resolved this issue ?
Thank you
LaurentI think, System validates IBAN when you flag "Bank data" check box in country specific checks (General settings). Check this setting in your case.
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INFORMATION REGARDING SUPPLIERS(BANK AND BANK ACCOUNT CONVERSION)
HI ALL
I DIDN'T FIND THE INTERFACE TABLES FOR ABOVE SAID CONVERSION.
ANY ONE CAN SEND THE INTERFACE TABLES OR API.
FOR SUPPLIERS(BANK AND BANK ACCOUNT CONVERSION)
THANKS IN ADVANCEHi,
Release 11i: No such direct open interface/API for Supplier Banks, not sure but you may be able to use the Customer Banks interface (using dummy customer) to get the bank accounts in, then direct update or private API to assign to Supplier.
Release 12: Bank Accounts have moved to new table, not sure if there is direct open interface / API for bank accounts, possibly same thing applies at 11i.
For suppliers there is supplier open interface from later 11i versions.
Gareth
http://garethroberts.blogspot.com
Message was edited by:
gareth.roberts -
Bank and Bank Branch Data Providers
We are in the middle of a global R12 implementation, but are struggling with poor quality name and address data for banks and bank branches. Has anyone faced similar problems, and if so, did you consider using any external sources for reference information? For example, as anyone addressed this problem using services which provide details of bank and branch names and addresses based on IBAN codes, sort codes etc? We need this for a large range of countries.
I've looked at SWIFT.com for their offerings, but am not convinced that they will provide the level of quality for addresses at the branch level.
ThanksHi,
I hope it's helpfull.
For Switzerland:
http://www.six-interbank-clearing.com/DE/tkicch_onlineservices_downloadbcbankmasterdata.htm
Germany:
http://www.bundesbank.de/zahlungsverkehr/zahlungsverkehr_bankleitzahlen_download.php -
One Payment method, one house bank but Multiple Account ID
Hello
My client has one house bank but multiple accounts(Account IDs). They would like to have one payment method "C" - Cheque.
Is it possible to have one payment method, one House bank and multiple account ids and during F110 the program should post to the correct gl (Bank account)
Thank YouHi,
For a combination of House bank, payment method and currency key, only one account ID with sub GL account can be maintained in SAP.
If there are different account IDs in the same House bank, the accounts should be either in different currencies (INR, USR, GBP .....) or the payment method should be different.
If all the accounts in a bank are to have same payment method and same currency, different house banks have to be created for each of the accounts. -
Bank statement and bank clearing document splitting
Hi,
We have main bank and bank clearing accounts classified as cash category.
Our bank statement uses a Z document type that posts transactions such as:
- debtor to main bank
- vendor to main bank
- expense to main bank
- revenue to main bank
Thereafter, the bank clearing that is done between main bank and bank clearing account (so a cash to cash rule is needed based on the GL account classification)
We needed to use an unspecified posting rule to cater for the bank statement posting as the standard did not allow us to add vendor, debtor, expense, revenue as base item categories. But it doesnt allow us to add cash to cash.
How should we configure document splitting to cater for this?Hi ,
First of all i hope you are clear with the concept of Incoming , otugoing and main bank account that we need to create 3 or more diffrent bank accounts for reconcilliation purpose .
the case here is that you cant to do a manual statement upload then in that case you will have to take care of following things .
How is the information transferred from FICA to FICO means along with the reconcilliation key what else information are you passing on to FI in the documents .
Secondly in the bank statement are you getting the reconcilliation key ??? or what information are you getting in the bank statement ???
because the integration of FI and FICA is the reco key and it becomes very crucial for you to have the same in the bank statement .
thirdly , Use the manual reconcillaiton functionality provided in FI for reconciling the same , where in you will have to configure the manual bank statement functionality and by using the T code ff67 you can reconcile it .
Hope this suffices the prupose .
Do revert back in case of any other queries .
cheers ,
dewang -
howdy colleagues,
Our banks are set up whereby Bank Key (banka-bankl) = Bank Number (banka-bnklz). In the country where I am working, the Central Bank is now requiring the bulk payments to be processed by bank group (previously by bank branch) e.g. one or more bank branches equal one group. As a workaround, I am considering the use of Bank Number field as the bank group. What I am figuring and confirming out right now is whether this field has a special usage that might affect the current payment program processes.
We generate bank transfer schedules and summaries developed via SAPscript. No IDOCs, EDI and special types of payments, just the basic bank/wire transfers.
I will appreciate any advice and comments.
Thanks,
Ron AlmonteHi
You would typically create one "House Bank" per Bank's routing number. So, if your company (read Company code) does business with a bank and have 5 account numbers with them, but they all have the same routing numbers, then just create one House Bank for that Company Code.
Next, you can create multiple Account IDs within that one House Bank. Typically, you would create an Acct ID for every account number issued by the bank.
You may also create multiple Account IDs for the same account number. Just use the bank issued account number over and over. You would do this if you want to attach each Account ID with a different G/L account. For example, your operational account receives cash deposits from customers and you issue payments to suppliers from the same account. Yet, you want to separate deposits and payments. Then, create two Account IDs say RECPT and PYMNT and set them up with the same Hopuse Bank and Bank account but different G/L account. -
Bank to Bank transfer of funds
Hi,
How do we process bank to bank transfer of funds in SAP?
I mean automatic instructions from the sending bank to receiving bank and subsequent accounting entries. (same company code) transfer of funds from one bank account to another bank account
In case of customer and vendor, SAP picks up open items and processes it but in case of bank transfer how does it happen?
Regards
AnishHi Anish,
please check the links:
http://help.sap.com/saphelp_erp2005vp/helpdata/en/c3/3b79418d1b020de10000000a1550b0/frameset.htm
http://www50.sap.com/businessmaps/E4D33CB0895111D487410000E81EF187.htm
http://help.sap.com/saphelp_erp2005vp/helpdata/en/4b/ad433717fd11d28a360000e829fbbd/frameset.htm
http://help.sap.com/saphelp_erp2005vp/helpdata/en/02/a29797e7fe11d295a30000e83dd245/frameset.htm
reward points for useful answer. -
Wrong house bank and account id allowed in FCH5
Hi
I created one downpayment to vendor with F-48. I entered Bank outgoing GL account number in the screen and i posted this document. I entered house bank (ABC12) and account id (AC102) in that bank outgoing GL account.
After posting above downpayment entry, i went to FCH5. There i entered above payment document number and different bank's house bank and account id.
System allowed me to create check with different bank details. Ideally system should bank details and should not allow creating FCH5 with different bank details.
Is there is user exit / validation or standard setting for restricting above error.How would system know that you have use the House bank and Account ID of so and so......?
Bcoz, this is a manual procedure
We can't put a validation here bcoz the fields are limited and they will not help us at FCH5 level.
Use the T Code FBZ5 for Down payments to the Vendors
It will help you
Thanks -
Hi Gurus,
Please tell me the uses of House banks and Account IDs?
How many Account Ids can be in one House Bank and is it compulsory that we should have equal no of Bank GL Accounts and Account ID in House Bank?
Please revert asat.
Thank YouA housebank is the bank used by the Company for its Banking operations.
EX: SBI is the Housebank...You may have two accounts with SBI one for colections and other for disbursenments.
Each bank account has a account ID...suppose you can term the above accounts as ACC(account for collections) and ACD(a/c for disbursements)
So each housebank can have many account IDs as per the number of accounts.
It is better to have a separate GL account for each account ID
Regards
Aravind
Assign points if helpful -
I am looking for a very simple home accounting application. iBank seems to not be very intuitive and it has more features than I need. I am looking for the ability to create a budget and keep a bank register with the ability to connect to my bank and do updates.
I have a small business, I chose Quickbooks because anything else cost much more. That triggered the hiring of a bookkeeper who knew how to use it. It was not the cheapest choice after all.
-
Bank, house bank and bp creation
Dear all,
i need to create many banks house banks and business partners.
Could you please tell me if there is some program to do this?
thanks.
Regards,
elenaHi Elena,
Best way to do is to create a LSMW, and then upload the data and run LSMW.
This is the best option possible. -
Regarding House bank - G/L account
Dear All,
I have created a house bank and assigned a G/L account to it's bank account in tcode FBZP.
Because of change in client's requirement, I had to change the (other) G/L account to bank account.
Now, when I go to FF67 and process the manual bank statement, system picks up the (previous assigned) G/L account only.
Could any one please suggest me what can be done for appearing new G/L assignment in tcode FF67?
Thanks,
NidhiHi Babu,
- Check in the Bank Master FI12 whether you have assigned the right GL account or not.
I have checked in the FI12 and the right G/L account is assigned
- Go to FBZP here check the respective Bank accounts under the Bank determination step.
In the bank determination step, bank account is not maintained
I have checked the few forums and got to know that first we have to run FF68 and then go for FF67. I did the same and now it's reflecting the correct G/L account.
But I am not sure whether it is the right way or not.
The G/L account we maintained in bank accounting is a balance A/c , how to test the incoming and outgoing accounts using tcode FF67?
Thanks,
Nidhi
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