ICR - Reconciliation Program - FBICS3 - Open/Clearing items selection

Hello Experts,
i have a customer open items which is selected when i am executing program FBICS3 and FBICA3.
When i am making an incoming payment which cleared my customer open items. i executed again FBICS3 and FBICA3.
The consequence is that my customer line item (cleared) disappeared from my ICR Ledger.
Is it the standard behaviour of the system ? what is the logic behind this ?
Because i could have a vendor line items which is cleared and the corresponding customer line item which is not cleared. Then, how do i reconciliate my customer line item in FBICR3 ?
Thanks for your help,
Nicolas GORECKI
FI consultant

Hello Nicolas,
Yes, that is intended standard behaviour. You are - after all - reconciling open items for a key date. A cleared item is not an open item. That is why it is deleted from ICR.
ICR is supposed to help you get an overview over the differences that exist in your intercompany relationships. If the payment has been posted on one side but not on the other this creates a difference. If the customer and the vendor line items were included in the process although one of them has been cleared in the meantime you would not find all the differences there are....
Ralph

Similar Messages

  • Customer interest calculation on both open & cleared items

    Hi,
    I have created a Interest Calculator Indicator Z1 for that following configuration is made.
    1. Int Global Settings> Prepare Interest on Arrears Calculation-> Z1 under selection of items I have selected the open & cleared items.
    2. Int Global Settings> Prepare Item Interest Calculation-> Z1 under items selection I have selected the open items & all cleared items.
    But when I am running the FINT - Interest Calculation for customer selecting the Interest Indicator Z1 system is calculating only open items but in configuration I have selected both open and all cleared items. Still its considering only open items.
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    Regards,
    Sandeep

    Thanks Chintan for immediate reply...
    I have check the solution given by you but not a single cleared document is not considering in FINT. I have one case like I have  posted one entry on 01.10.2010 & one same day I have reversed I need that entry should come in the same calculation. This will not effect in amount as it will get plus minus zero.
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    Sandeep

  • Open Clearing Items

    Hello everybody:
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    Hi,
    As per your issue, I understood that you do not want to cancel the payment, cleared invoice need to be reset and correct invoice has to be cleared. Please do the following.
    1. Do FBRA for the cleared invoice with clearing document, do only resetting do not reverse.
    Impact: Wrong invoice and payment document will be reset as open item.
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  • HOW TO DISPLAY VENDOR WITH NO OPEN CLEARED ITEMS

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  • Restrict Number of Open line items selected for vendor payment in F-58

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    hi,
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  • Customer with the Invoice date to open & clearing item

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    Dear Sri Wa,
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  • FBL3N-cleared item visible in both open item and cleared item.

    Hi
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    Hi,
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  • Open items selection through program RFBIBL00

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    Regards.

    Thanks Nandita for your answer.
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  • Blocking line items while open item selection for clearing

    We would like to block open items with one particular special GL indicator during open item selection for clearing.  The SAP transaction code is F-32
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    Hi Ramesh,
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    I hope the above helps.
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    Regards,
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  • Cleared item swowing as a Open item

    Hi All,
    I posted a document in f-02 for bank charges the entry was bank charges a/c debit and bank a/c is credit. and i posted the same data into ff67. and for reconsilation i upload the same data into FEBA for bank statement. now this document is cleared.
    but the problem is when i see this document in FBL3N this document numbe showing in Open items but i cleared allready.
    Please give me the solution for this.

    Hi....
    Those are items we cannot delete first we have to reverse those items using the FB08 for open items ..other wise use T.code FBRA for clearing items
    once done the all activites after that you have dleted the statment number number useing program Goto SE38 and execute the following report: RFEBKA96.
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    Finally check the statement file debit and credit balance it must be Zero
    Than try to post once again ..it will allows you post
    I hope it will helps you
    Regards
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  • Function Module for clearing customer open line items?

    Hi,
    Can anyone suggest me, the FM for clearing the customer open line items/
    Manually we can do by f-32.....but, i need an FM for this?
    Thanks in Advance,
    Manju.

    Hi. I just found a good way of doing this from a program. It sort of uses BDC but in such a way that you don't get all the problems you normally get with BDC.
    First create a custom program with an internal table called YBSID of type BSID, and select into it from BSID the items you want to clear, 1 customer at a time. You must call your internal table YBSID.
    Then you need to populate a BDC table with very basic data, the easiest way to do it is to set a break-point in form "CALL_TRANSACTION" of include F124_MERGE, then run F.13, it will break at this point and you can copy the contents of BDCDTAB.
    Then in your custom program put the same statement as the include "EXPORT YBSID TO MEMORY ID '%F124%'." then call transaction 'FB1D' using the BDC table.
    What this does is clear exactly whatever data you put in YBSID. It uses the transaction FB1D but all the clearing data is already populated from YBSID. If you call a transaction normally it is very hard to select the right items to clear, using YBSID you only enter 1 screen and do not have to select anything.
    You can also use this same method to clear vendor line items using YBSIK and transaction FB1K and G/L line items using YBSIS and FB1S.
    I hope this helps.
    Regards,
    Dave.

  • Open and Cleared Items

    Hi all
    We are currently busy finalising our FI-CA BW Data Modeling exercise - and in process to complete Dataflow documentation.
    We will make use of the standard open and cleared item extractors with enhancements on different levels. Some background on the requirements:
    - We will have to extract document types, divisions, dates, clearing reasons, contract account, Business Partner etc.. information to meet the requirements.
    - We will have to keep history for at least 26 months to produce the required management reports (very high number of data), and 'partition' the cubes on date level for both Cleared and Open Items.
    - Most of the reports display 13 months worth of billing/ payment figures. I.e. the report for the end of October show billings vs. payments for October 2006, September, August, July, ... to October 2005.
    - The requirement is that the report figures will not change from one month to the next (i.e. if I run the report for end of October - all figures from October 2006 to Oct 2005 will remain the same when I run the report for end of November). I.e. if reversals, transfers, returns etc. occur - these will be picked up in later months.
    - For the above requirement, we are looking at extracting open (end of month) and cleared items (for the specific monthly interval) on a monthly basis, and appending the data in the cubes. We will then always base the June figure in the report on the June month extraction (LAUFD/ LAUFI fields) and we will pick up any movement in the next month/s - i.e. July.
    Has anyone had these types of requirements before - to report on billings vs. payments, and report on history as described above. We would appreciate it if you could share your report requirements, and also design documents, especially the DataFlow documentation that we can look at as input to our design.

    We had a requirement to retrieve "aging of receiveables" by customer. Basically, it goes thru each record and depending on the due date places the amounts in the following buckets (example). 0-30 day Overdue, 31-60 days Overdue, 61-90 days overdue, 30+ days overdue, 60+ days overdue) etc all the way to 6+ years overdue.
    There are also cooresponding buckets for coming due analysis. For example, what is: 0-30 days coming due, 31-60 days coming due, 30+ days coming due, etc...
    To do this, first I needed to be able be able to produce an open items statement at any given time in the past. Now, this seems impossible because of how the items go from open to cleared all the time. And an item that was open one month ago, may not be open anymore.
    What I did was first remove any selections on item status. Then compare the posting date with teh key date in the past, if the posting date is less than or equal to the key date, keep the record.
    Then compare the clearing date with the key date. First, keep all that are #. (This keeps all records still open from that posting date/key date)
    Then, add another check for all items that were cleared after the key date (GT Key Date). This gives you the open items on that date.
    Hope that makes sense. Let me know if you want clarification.
    /smw

  • Doubt about report FBL5N of screen field:Open items and Cleared items

    hi
    i know the report FBL5N is use DDF LDB and the report work flow is BSID->BKFP->BSEG
    but i don't know to differentiate Open Items and Cleared items in this report.
    Open items and Cleared items stand for a field flag in these table (BSID,BKFP,BSEG )? if true the field is?
    or they must be calc in program ? if true what about calc rules?
    waiting for help! thank you!

    Hi,
    Here is the difference in Open Items and Cleared Items.
    In FI first the document is Open (when it is posted) so the entry is made in table BSID. Once the document is cleared, it will move from BSID to BSAD. And for Cleared item you will see Clearing Document no and Clearing date values updated (these are blank when the item is open).
    The only difference in Open and Cleared is via Clearing Document and Clearing Date. If the values are present, it means document is cleared.
    Hope this helps.
    ashish
    Message was edited by:
            Ashish Gundawar

  • Interest calculation on Open items and cleared items

    Dear Experts
    I am trying to do needful configuration for interest indicator on which interest can be calculated for open items and cleared items as well.  But,  system is calculating interest for open items properly, but not calculating interest on cleared items with same interest indicator,  I am repeatedly getting error "interest calculation indicator is not compatible with this type of interest calculation"
    Is it possible to use same interest indicator for open line items and cleared line items of customer?
    If possible, request you share the needful config steps to do same.
    points will be awarded for usful reply.
    Best regards,
    S. Habib Pasha.

    Hello Habib,
    depending on the requests you can setup a item interest calculation or a balance interest calculation "Define calculation types".
    IIC: check settings (item selection, all cleared items, only items with payment, no cleared items) "Prepare item interest calculation"
    I guess you have setup the item interest calculation - maybe you have mixed some entries with BAIC.
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    At least check your entries in "Define time-based Terms" If you have entries with Balance account interest calculation the system gives even an error.
    Hope this is helpfull.
    Best regards
       Horst

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