House bank issue

Hi,
     I created one new house bank and check lot. Also I have done bank determination for outgoing check payments. But when i am using FBZ5 ( Print form for payment document), it is showing that "Form YF110_PRENUM_CHK is not active". So what changes I have to do for Print form for payment document. Please help me.
Jay

Hi ,
For that you can go through this solution
Go through FBZP Create a  payment method  and select  Payment methods in company code
Select new entries button and select Form data and  give Form for the Payment Medium SAP Script   F110_PRENUM_CHCK
May be this information is useful to you
Regards
Surya

Similar Messages

  • House Bank Key Issue

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    hi
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    Edited by: akausar on Nov 8, 2011 6:09 PM

  • Issue with GL account determination of House Bank

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  • Bank key during creation of house bank

    Hi,
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  • Can we map mutiple Account ID's with a single House Bank in OBVCU? (FI-TRM)

    Hi,
    I want to map mutiple account ID's with single house bank in OBVCU for the purpose of making Automatic Payment Transaction(F111) for my Treasury postings.
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    BOB         BOB72          23506390
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    Bank Determination -FBZP
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    BOB              O               INR       BOB02     23506011
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    Hi Ramesh,
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    Your criteria cant be met.
    Regards
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  • Check payment house bank

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    Hi Expert,
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    Step-3: Issued Check Cancellation in T-Code: FCH8
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    SAP

  • F110 - Mass change house bank for one time vendor

    Hello,
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    Thank you in advance!

    I can do it but one per one in payment proposal. I can't do it mass. The issue is that I have huge number of one time vendor payments per day and some of them should be paid in one house bank and some of them in some other house bank.
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  • Wrong House Bank defaulted in tx. F110

    Hi Everyone,
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    HP

    Hello Viswa,
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    Payment method is C as well in the variant.
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    HP

  • Vendor Bank changes affect House Banks

    Hi,
    We noticed that users with Bank Maintenance authorization (TCode FI02) for changing vendor bank details are able to change "House Bank data", e.g. vendor bank is also a house bank  -> a user changes the vendor bank details (e.g. SWIFT code for a given bank) in the Vendor Master Change-screen (Change Vendor XK02 -> Payment Transaction -> Bank Data) --> result: it also changes the SWIFT code in the House Bank.
    Does someone know what the relationship between Vendor Banks and House Banks looks like (Table BNKA vs Table T012) ?
    What would be the best approach to restrict "House Bank Changes"? (e.g. if a user changes a vendor bank that is a house bank as well a Warning message should show up - check against table T012)
    Did somebody face the same issue?
    Any comments are highly appreciated!
    Many Thanks,
    Jason

    Fields in Vendor Master data can be defined as Sensitive fields, so that when a user changes a field in the Vendor Master data, it will be blocked for payments and also that the changes need to be confirmed by another user.
    For Settings SPRO -> Financial Accounting -> AR and AP -> Vendor Accounts -> Master Data -> Preps for Creating Vendor Master data -> Preparations for Creating Vendor Master Data -> Define Sensitive Fields for Dual Control (Vendors)
    For Confirmation of Changes -> Easy Access -> Accounting -> Financial Accounting -> Accounts Payable -> Master Records -> Confirmation of Changes -> Single (T-Code FK08)

  • Assign house bank to Customer item - LOANS - FNM1

    Hi Guys.
    In Loans, when I use FNM1, is  it possible to assign the "House bank" in the customer posting item?
    There is payment details in Loans but this payment detail is only when I'm not using customers.
    My doubt is when I'm using customer. Is it possible?
    Regards.
    Lucciano

    Hi Prasad
    Why house bank details are required while posting with customer account?
    To issue the bill in F110. I know F110 has another engine to determine the house bank. But I would like to define according to the Loan contract.
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  • HOUSE BANK CONFIGURATION

    Hi Experts
    In my client  number of bank accounts  maintained with each bank which is configured as House bank is more than one in almost alll the cases. Client is interested for check printing for each bank account maintained with the bank be it automatic payment programme(F1110) or manual payment(F-58)..But the consulting team which is presently involved in the implementation is expressing some limitation and as per the explanation given to us only one account can have check printing and rest of the bank account should  go for manual check facility,
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    sk

    Hi Vijay
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  • House bank selection while running payment run( FPY1)

    Hi,
    I am trying to post a payment run (FPY1) for open payables in FS-CD. There is an option to either manually enter the house bank details from which payment is to be made or that can be pre configured using the "maintain bank selection" criteria. Is it possible for the program to take the house bank details from the contract account (own bank details field.)
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    Hi All,
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    Venkat

  • SAP EBS program does not clear checks from 2 house banks

    We have two house banks  in one company code. Both the house banks have same account number but different bank keys (Routing numbers). The Incoming EBS file gets posted but the checks get cleared only for one house bank. The interpretation algorithm we are using is u201C11u201D u2013 check number. I understand that based on check number EBS program is auto clearing only checks from one house bank. Please advice if the program accommodates to clear the checks from both the house banksu201D

    Check the 'Assign Bank Accounts to Transaction Types' in EBS customizing. In this step, you'll assign 'Transaction type' to Bank Key and Bank Account. See if you have assigned only for Bank account. If the Bank key field is left blank, this issue is a possibility. So try defining two lines with the Bank Key-Bank Account combination and assign the same transaction type for both.
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  • Automatic Payment Program - Make House Bank Non- Editable

    Dear All,
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    regards
    Diwakar

    Dear Diwakar,
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    Thanks
    Aravind

  • Bill of exchange and House banks

    Hi All,
    Can anyone send me documentation on Bills of exchange and housebank?
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    Thanks & Regards,
    Rohini

    Hi,
    Creation of House Banks -
    1. IMG-FA-Bank Accounting - Bank Accounts - Define House Banks
    Enter Cocd
    New Entries
    House Bank <Any 4 char>
    Country
    Bank key (Any number>
    Click Create
    Enter Bank name
    Bank number (pref same as Bank key)
    Ok
    dbl lcikc 'Bank Account Folder'
    New entries
    Account ID <any 4 char Pref same as house bank?>
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    Bank Acct Number <actual Account number>
    Currency
    GL account Number <Bank GL number>
    Save
    2. Go to FS00
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    Select Relevant to Cash flow
    Save
    Checks
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    Click Change
    Click Create
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    Making void check - FCH3
    Void Issued check - FCH9
    Check register  - FCHN
    Regards,
    Sridevi
    <i>Pls. assign points, if useful</i>

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