IHC_Payment order processing

Hi
I am trying to find out how are settings in table IHC_DB_CL_ACCTS used to determine the account for Transactio and Business Partenr ?
I have executed IHC1EP ( EXternmal Paymnet order )  with trace on for both Park and Save processing, but this table does not seem to be getting used. The settings in table IHC_DB_CL_AMS only seems to determin ethe contra account used for Payment item creation.
Any ideas why ?
So, 2 questions:
1.Also, I need to determine the Clearing account for contra payment item dependent on Currency, partner and Transaction type. And it seems the table IHC_DB_CL_ACCTS settings should be able to achieve this. Is there any oter way to do this ?
2.And how is Business Partner  to be shown in the IHC1EP ?
Thanks in advance.
Dinesh

Hi
There could be various possiblity that I would double-check.
1. Is CM activated in your system? If so, it may be due to the fact that the planning level is not assigned to payment request -
Financial supply chain Management > Cash and Liquidity Management  >Cash Management > Structuring > Groupings >  Define levels in payment requests
2 Another possibility would be that External account number may not be identical
Account management > Basic Setting: communication
Set Up Creation of Payment Requests for Inbound IDoc in FI – Account details)
  External account numbers need to be IDENTICAL keys between IHC and FI within IHC company as a communication method.
If none of the above is applicable, you may need to debug by reprocessing failed IDOC by BD64 by removing the account assignment in configuration  - Set Up Creation of Payment Requests for Inbound IDoc in FI > Posting Account
Hope that this helps
Cheers

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