How to Configure Recurring post in OUtgoing payments

hi ,Plz help to configure recurring post for Post dated transactoin

Hi,
Please explain your exact requirement. In standard B1, you can create recurring posting for sale and purchase documents. There is no such option for outgoing payments.
Thanks & Regards,
Nagarajan

Similar Messages

  • Error in posting of outgoing payment

    Dear all,
    While I am trying to post outgoing payment (Transaction F-53) I receive message " The entry 222 (My company Code) is missing in table T043G"
    Please tell me how to fix it
    Thank in advance
    Minh

    Hi,
    Check the below path, where your company code (222) should be there with or without tolerance group...
    IMG > Financial Accounting > Financial Accounting Global Setting > Document > Tolerance group > Define tolerance group for employees..
    Here you have to enter the following parameters,
    Amount per document
    Amount per open item account item
    Cash discount per line item
    And the permitted payment differences if necessary....
    And again execute your transaction.
    I hope it works
    Saravanan.A

  • Cash discount not accepted while posting in outgoing payments(F-53)

    Hi,
    Here i entered Invoice Rs.50,000 in FB60 through terms of 002, Againest this invoice i make a payment in F-53 on the same day so i get  Rs.1500 as discount againest this invoice.
    acctually entry like  as below
    Vendor account Dr         50,000
    To bank a\c                 48500
    To Discount a\c                                            1500
    but system this Rs.1500 shown as Not assigned amount and when save this entry wornign message is "The differecen amounts  is to large"
    Term 002= within 10 days 3%
                          within 30 days 2%
                         within 45day  no discount

    Hi,
    Please check the Employee Tolerance Settings in OBA4. The field for Cash discount per line item has to be more than or equal to the discount that is defined in the payment terms.
    Regards,
    Kiron Kumar T.

  • Post outgoing payment : Process open Items

    Hi Experts,
    We are using transaction F-53 Through Autometic payment Programme
    when process open items appears to choose the amount a information message appeares
    i.e."1 items have not been activated due to inconsistent withholding tax info"
    kindly suggest how can it rectified this problem for post this outgoing payment.
    this very urgent
    Thanks & regards
    Kuldeep Dubey

    Plz run the report RFWT0010 for the affected vendors.
    I suggest better run this report as & when required.
    Run in UPDATE mode & try again. This will work.
    Plz lemme know if the problem persists.
    regards

  • How to insert Bank Charges when processing Outgoing Payment.

    Dear Experts,
    I will like to perform an Outgoing Payment to accounts, using payment means of Bank Transfer to pay for an AP Invoice that I have not received.
    Can anyone advice me if or how I can include the Bank Charges value when posting this Outgoing Payment voucuher?
    Much Thanks for your Help in advance!
    Warmest Regards,
    Chinho

    Hi Chin,
    Check the thread
    Bank Charges - Outgoing Payment
    Re: Payment to Vendor against AP Invoice & Bank charges
    Bank Charges
    *Close the thread if issue solved.
    Regards
    Jambulingam.P
    Edited by: Jambulingam P on Jul 7, 2009 12:06 PM

  • Invalid Account Code Message 173-9 when posting Outgoing Payment

    When attempting to post an Outgoing Payment our customer recieves the following error: Invalid Account Code Message [173-9].  The local currency is CDN and Invoice currency is US.  The error occurs only when back dating the outgoing payment to Jan 31, 2011 on Posting, Due and Doc Date.  If the Posting/Doc date are left as the current date and the Due is set at Jan 31, 2011 then there is no issue.
    I've checked the posting periods, G/L determination and BP setup. 
    Note: this exact process has been completed many times in the past.
    Version:
    SAP B1 2007A SP01 PL11
    Any assistance would be appreciated.
    I've seen another post with a similar question but the answer did not solve our issue.
    Invalid Account Code when adding outgoing payments

    Hi,
    You may check this: Invalid Account Code error when posting AP Credit Note
    Thanks,
    Gordon

  • Outgoing payment request

    Hi SAP Guru,
    I have created one outgoing payment request. THen how to post the outgoing payment with request.
    For this purpose i am using request is "P".
    can any body plz help me out.
    Thanks & regards
    Amar

    Hi Amir
    Thanks lot for ur responce.
    Can u tell what configuration required for the F111. Also we are using F110 for app purpose we have already configured all the steps.If any additioanl cofiguration required to F111 or not?
    plz explain me how to run F111
    Thanks & regards
    Amar

  • Outgoing payment with Zero amount when Full adance is paid

    I am making A/P down payment request based on purchase order, then I make full payment of PO (full advance payment - no amount of payment left with) through "Outgoing payment" which creates negative amount in Business partner balance and shows a negative entry in "outgoing payment" screen. Moving further, I make Goods receipt PO and then I make A/P invoice of regular amount based on goods receipt PO / Purchase order.
    Up till now, the full payment has been made in advance through A/P down payment request and upon receiving goods the A/P invoice of regular amount is received. Now when I go to "outgoing payments" I have no amount left to pay (i.e. It displays 2 entries of same amount, one with positive amount of A/P invoice and the other one with negative amount of A/P down payment request to show the due balance = zero)  So I am trying to clear the vendor "outgoing payments" by paying with Zero amount, but the system shows the error "The confirmation amount should be greater than Zero".
    How can I clear the vendor "Outgoing payments" with zero amount ?? as it's payment has been made in advance.
    Note: Please give me the solution by keeping in mind that I have to pay full amount in advance.
    Solution to this problem would be highly appreciated.
    Thanks and regards,
    Farhan Sufi

    Hi Farhan Sufi,
                  For Cases where full Advance is paid initially, You Follow these procedure, I have tested in my DB its working fine.
    Step 1: Raise a Purchase order Say Rs 1000/-
    Step 2: Raise a GR(PO) of Rs 1000/-
    Step 3: Go To A/P Down Pmt -
    Select the Vendor -
    Say copy from GR(PO), And select te One you wanted. At the bottom in the DPM Field give 100% and Add the Document.
    Step 4: Raise Out Going Payment by linking to the A/P Down Pmt what you have posted. ie., Go To Out Going Pmt Screen---Select the Vendor, This will display all invoices, Down pmts, Credit Memos, and JE's. Select the A/P Down Pmt what you have posted and go to payment means fill in the respective field and add the document.
    Step 5: Go To A/P Invoice Screen, select the vendor. And  click on Copy from GR(PO), Select the respective GR(PO) document.
    And At the Bottom double click on Total Down Payment Button, This will display the list of all Down Payments for which Out going payments are also posted. Here Select the respective Down payment and add the document.
    When you add this A/P Invoice document gets added and the status of the document will be closed. As you have made full payment in the A/P Down Payment Screen.
    And This Invoice will not appear in the Out Going Screen as the document is closed.
    Cheers,
    Sree.

  • TDS While making outgoing payment

    Hi,
    How to deduct TDS while making outgoing payments?
    Pls help in this regards
    Thanks & Regards
    Suresh Kannan
    Edited by: Marc Riar on Jan 31, 2008 2:18 PM
    Edited by: Marc Riar on Feb 15, 2008 9:36 AM

    Hi Suresh,
    Every organisation is liable to deduct TDS/withholding tax on certain type of services availed, either at the time of making the payment or at the time of accounting Invoice.
    In SBO, we can automate the calculation and deduction of tds on both the occasions.
    For this:- Applicable TDS rates should have been pre-configured and should be assigned to Business Partner Master Records.
    You configure Withholding taxes in - administration/definition(Setup)/Financials/Tax/Withholding taxes.
    You assign the WH Tax codes in BP Master in BP Master/Accounting/Tax Tab/check box subject to withholding taxes.
    Assign points if useful.
    Thanks,
    Srikatnh

  • Outgoing Payments in Foreign Currency

    I am trying to figure out how to correctly post payments and apply the gain/loss to exchange rates.
    LC = USD
    FC = CZK
    I post an AP Invoice for CZK 20,000 in June with an exchange rate of 1 USD = 20 CZK.
    The GL Records the transaction using the above rate as defined in the Rates table.
    Two months later I post an outgoing payment. I paid the vendor in USD. The rate defined in SAP is 1 USD = 19 CZK.
    The vendor, however, uses a rate of 18.90 CZK per USD, therefore, I need to send USD 1058.20 (CZK 20,000 / 18.90)*18.9
    How do I post this transaction? I need to somehow specify that the exchange rate for the payment is different than the exchange rate that is listed in the rates table. If I enter a USD payment of 1058.20 then SAP calculates the CZK 19, not the actual one exchange rate. If I specify payment in CZK then the USD calculation is incorrect.
    I should have a exchange rate loss of USD 58.20 through the transfer. I will also need to post the exchange rate loss between the ap invoice rate and the payment rate. For the second part I found that I can do this through Financials > Exchange rate differences.
    What am I doing wrong?

    Hello,
    using exchange rate different can be correct for your case if you deal with foreign currency. Meanwhile conversion rate different is for SC and LC different.
    There are some options there in the header to select before perform the different.
    Another things to consider is that there is no unrealized gain/loss G/L account field in the G/L account determination of SAP B1. I think you could use manual journal entry for this one but discuss with your accounting staff first.
    Rgds,

  • Approval procedure for Outgoing payment

    Dear all expert,
    I want to know how to make approval procedures for outgoing payment. So, everytime user create outgoing payment, it can't be printed until it's approved by Chief Acct. Where do i set this approval, because i see in the approval module, there is no  outgoing payment document.
    Thanks

    I have checked that, at least until 2007A version PL49 Outgoing payment has not yet added to Approval Template.  You may use SP Transaction Notification to block some users for posting.
    Thanks,
    Gordon

  • Max Documents for OutGoing Payment

    Hi
    Can any one know what is max document select while posting OutGoing Payments
    I want to post Cust Outgoing Payment (against 10,000 Credit Note) , does system allow?
    Nilesh Shah

    Hi,
    You can define the number of documents to appear in the Payment window or you can have all the documents appearing in the outgoing payment for a specific BP.
    I dont think there would be any problem in creating a Payment document for large number of documents but it would take time to complete the process.
    But be sure that correct documents are included as you cannot have one or two document removed from the Payment or reconciliation which will happen on creation of payment. You have to cancel the complete payment.
    Prepare a COPY of the database in Test Enviornment and give a try.
    Kind Regards,
    Jitin
    SAP Business One Forum Team

  • How to post  invoices in FI-CA related to outgoing payments

    Hi
    We need to make payments to vendors for our business. We are creating vendors as business partners in FICA and invoices have to be posted in FI-CA. Can someone tell me the configurations to be done for posting a invoice before making the payments. What would be the main and sub transaction for the invoice and outgoing payments?
    Thanks
    Santosh
    Edited by: Santosh Kolleti on Nov 20, 2008 11:00 PM
    Edited by: Santosh Kolleti on Nov 20, 2008 11:00 PM

    Santhosh,
    Are you trying to Post Invoices in FICA or just FICA document with Invoice Refer no?
    If former, it is a very big config and you need to sit with Billing Consultant.
    If latter, suggest  you to populate value in Reference number.
    You can use any MT/ST that are used to post Open items like 0010/0030 etc
    Hope this helps
    Rgds
    Rajendra

  • How to add the Assignment column on this post outgoing payment in f-53

    Hi all,
    how to add the Assignment column on this post outgoing payment in f-53?
    thanks.
    Joo

    Hi ,
    If you want to see the assignment column in f-53 process open item screen
    1. First in O7V3 check for t.code FBz2 which line layout ( 2 digit code is assigned)
    2. Then in t.code O7z4s check in the line layout and if assignment field is not there then insert the field.
    then check in F-53.
    Hopw it will solve your problem.
    Assign points if useful
    Regards
    Prabhat

  • Posting outgoing payment in foreign currency

    Dear all,
    I post a invoice with exchange rate 1USD = 0,95 EUR
    After I post outgoing payment with exchange rate  1USD = 0,92 EUR
    I receive a meassage " Exchange rate diffirent account is incomplete for account 331111 ( My recon.account of vendor) currency USD"
    Please tell me how can I post acounting entries?
    Thank for your help
    Minh

    If you use KDB,
    Configure GL accounts for each Exchange Rate Key you use. Also, remember to mention this key in the GL account number (Company Code data FS00 / FSS0 --> Control Data screen, under "Exchange rate difference key").
    When using KDF or KDW, simply assign the GL Account number. This will be triggered for all postings where the Exchange Rate key is not defined.
    Finally, make sure all your GLs are extended to the Company Code (FSS0)
    Hope this helps.
    Cheers.

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