How to make a default entry to "partner bank type" in MIRO/FB60?
"Payment transactions" data containing the partner bank type is under the "General data" section of the vendor master. Meaning it is not company code specific.
For example, I have four banking information (and of course four partner bank types) entered in the vendor master. The first two are the ones I entered in the vendor master with company code 0001 and purchasing organization P001. The last two banking information were entered when I went into the vendor master with company code 0002 and purchasing organization P002 (I added two new banking accounts for this example). This information is not company code specific, meaning all company codes that have created/linked to this vendor can change this information.
So, when I post to MIRO or in FB60 for that same vendor, under the payment tab, I have all the four partner bank types in the matchcode for field 'partner bank type'.
I want to find a way for the correct bank partner type to default in the correct company code. There are many vendors that company codes 0001 and 0002 share. If the vendor has more than one bank account, for example a US account and a Mexico account, then the AP clerk has to remember to manually pick the correct bank partner type every time he enters an invoice. If he forgets, then the system picks the first banking account information and the payment gets sent to the wrong banking account. There should be a way for the system to default to the correct bank partner type per company code so the AP clerk doesn't have to manually select the correct bank partner type every time he vouches/enters an invoice.
Do you have a recommendation for this matter? Thanks in advance for all your advice.
Hi folks,
I have the same problem described by Peter. I cannot seem to find an answer to this problem. Currently, the only way round this issue seems to be to input the partner bank type during invoicing. However, the person doing invoice verification is usually a different person from the AP clerk who does payment and he / she might not be vigilant enough to ensure the correct partner bank is selected. I would like to avoid a situation whereby bank type is selected during invoicing. Is there a way whereby for each company code using shared vendors, we are able to default the partner bank type at the master data level? Is there any user exits available?
Many thanks for the advance advice. Tina
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Hi All,
We all know that for maintaing 'PARTNER BANK TYPE' in 'Vendor Master Record' the 'Country, Bank Key & Account Number' is 'Primary Key' so we cannot make 1 to Many relation for example-
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IN 12345 12345 IN01
IN 12345 12345 IN02
IN 12345 12345 IN03
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But i am not able to 'Understand' how system will 'Pick' 'BANK' at the time of F110 with reference to 'Z' table.
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Lokking forward for response.
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Edited by: sandeep on Dec 21, 2010 7:14 AMHi,
I think you should use BTE 00001810. Please search in the forum with the 3 keywords bank type bte. -
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Vendor 1000000 under company code 1000 has 4 bank accounts Each (USD, GBP, SGD, EUR) is identified by BnkT (Partner Bank Type) field in vendor master.
When we performed F110 payment, system automatically picks the first bank account in the vendor master. However, we need to specify the exact bank account to pay to (e.g. for TT/ACH cases).In F110, we know we can manually choose to reallocate the invoice and select the correct bank account but there can be hundred of invoices in a payment run so it's impractical to do so.
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Is there any user exit/ badi to populate the partner bank type (field name BSEG-BVTYP) in transaction F-63. There is exit ZFI_FOAP_CDITEMS_00001011 having BKPF and BSEG as only import parameters so I cant change the value for BSEG-BVTYP.
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Steevanhi,
Below r the user exit related to transaction F-63.
Check out if any of them will solve ur Query..
F050S001 FIDCMT, FIDCC1, FIDCC2: Edit user-defined IDoc segment
F050S002 FIDCC1: Change IDoc/do not send
F050S003 FIDCC2: Change IDoc/do not send
F050S004 FIDCMT, FIDCC1, FIDCC2: Change outbound IDoc/do not send
F050S005 FIDCMT, FIDCC1, FIDCC2 Inbound IDoc: Change FI document
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F050S007 FIDCCH Outbound: Influence on IDoc for Document Change
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Partner Bank Type in Vendor Master
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I have the situation where a Vendor has more than one bank account - eg. one bank account for Euro and one bank account for Sterling
In the vendor master I have created the 2 lines on the bank details screen and created Partner bank types EUR1 & GBP1 under the BnkT field. First question is can these be pre-defined anywhere in Customizing?
I have assigned eg. the GBP1 Partner Bank type in the header "Payments" tab when in transaction MIRO however I am getting an error message that says "Customer has no bank details of the bank type GBP1"
Please help. Thank youHello
I have checked transactio FI01.
The bank key and country for my 2 bank accounts are the same and are already set up. I do not see anything that would link to the BnkT field. Any other ideas?
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The Partner Bank Type of the vendor in the Purchase Order
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A vendor has got more BanK Accounts. These, in his master data, are marked with different Partner bank type.
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G.You should create multiple vendors for each bank account and assign that as an invoicing party (PI) partner on the mail vendor this will allow you to choose vendor code for specific bank account.
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Partner bank type field missing in payment proposal list
Hi Gurus,
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Regards.Hello,
Please note the system selects the bank with the lowest BVTYP.
This means that a bank which has no BVTYP will be selected first,
then one with AAAA, then BBBB. This is the reason why the partner
bank which you expected was not chosen.
Please read the F1 help for this field which explains the main purpos
of this field:
F1 Help:
In the business partner's master record:
If several bank accounts exist in a customer or vendor master
record, you can assign different keys for these accounts.
In the item:
To use a particular bank of the business partner for the payment
an item, enter the appropriate key in the item. The payment prog
then pays the item via the business partner's predefined bank.
Here you can enter, for example a number, 0001.
Then, when you post a document with the transaction FB01 or F-42, you
can display the field 'Partner bank type' (BSEG-BVTYP). Here you can
write the number 0001 or another number for another bank of the same
vendor. Afterwards, you can post this document.
Also, you can use Business Transaction Event (Open-FI) 00001810 to
implement your own algorithm to select a bank. For details, see the
documentation of the sample function module SAMPLE_PROCESS_00001810.
Also review below notes in the same context about "F110: partner bank
type".
363219 - F110: Wrong partner bank after proposal run maintnc
390740 - F110: partner bank type not in clearing line of payment doc
Hope this clarifies the system behaviour.
regards
Ray
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