IHC- Vendor bank Details Missing in the vendor master

Hi,
In IHC scenario, while processing F110, if a Vendor has missing Bank details on his master, then will it fail at the IDOC stage or will it fail at the Proposal stage.
In our system the IDOC is in status 51 for a Vendor whose bank details are not maintained.
Please let me know is it a standard system behaviour or we can have settings where it will be stopped at the Proposal stage itself as an exception.
Thanks,
SAPFICO

.

Similar Messages

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  • How to get change in Vendor bank details

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  • Error while creating vendor bank details using MAINTAIN_BAPI of class VMD_ei_api

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    Hi Abhijeet,
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    Hi shiva,
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  • Who knows a Std. global data type for vendor bank details (ESR modelling) ?

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    No solution -closed

  • Mass change to vendor bank details

    Hi,
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    How do you do mass changes with LSMW..
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  • Do we have vendor bank details in MEDRUCK or any standard smartform

    HI,
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    Regards,
    Nagaraju

    Hi,
    In FBZP, while defining the payment method for the country, you have an option - Required master record specification. In this you need to select Bank details. This will make sure that when you assign this payment method in the vendor master, it validates if the bank details in the masters are maintained and also include it in the payment data set.
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  • Customer and vendor bank details

    hello,
      what goes in feilds bank key and bank account in customer and vendor bank details in the master data. is it required to have those.
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    Its not a required field, but if you are configuring ACH payment then you would like to make this field as mandatory for  vendor.. where you will store his bank information to be picked up
    http://www.erpgenie.com/sapgenie/docs/FI-arapconcept.doc
    Please assign points as way to say thanks

  • Uploading vendor bank details

    hi
    i want to use call transaction method to uplaod the vendor bank details. now i want to create a flat file for a vendor with two bank details. can anyone tell me how should be the flat file i.e., how to differentiate the two bank details for a single vendor. also should i declare two internal tables in the BDC program one for the vendor information and one for the bank details to upload the data from flat file using GUI_UPLOAD. please can anyone explain with an example.
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    sandeep.

    I would suggest having two files and two internal tables,  one for the vendor information, and one for the bank details, upload both using GUI_UPLOAD.  Loop at the first one, this one should only have one record per vendor,  inside that loop, loop at the second itab where vendor = the vendor of the first loop.  do the transaction to enter the bank details.
    Loop at itab1.
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    loop at itab2 where lifnr = itab1-lifnr.
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    endloop.
    endloop.
    Regards,
    Rich Heilman

  • Vendor Bank details in vendor master data

    Hi
    There are two tabs in vendor master data:
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    In payment transaction tab, there is only one field for our house bank for making payment through APP. What if i need to pay to different banks? Where i will maintain multiple house bank in such cases.
    Please reply for above two queries.

    Hi  Deepak,
    Please understand that there is a total disconnect between the House banks(internal Banks) that you create in FBZP and between the vendor bank Accounts. For Vendor banks you don't need to create House Banks..but YES, you will have to create bank Keys as many as required to maintain Vendor bank details in XK02..Payment transactions tab.
    If you have more than one Bank from which you want to pay.. then maintain all those Banks in FBZP and link it to Payment Methods and when you run APP, you can choose which Bank you want to pay from..
    Secondly, while posting Invoice also if you are sure about the Bank that you want to use.. enter house Bank while posting..
    Thirdly, if you are sure about the Vendor that he gets paid through a particular bank only.. maintain that particular bank in the vendor master data.. and if you are not sure about the Bank.. keep it blank..and decide in APP variant which bank you want to pay from..
    Vendor master bank details of the vendors are used to send to Bank,.. so that the money can be directly credited in the vendor Bank account..
    Hope this helps..
    Regards,
    SAPFICO

  • Vendor bank details in vendor master

    Dear All,
    where do we maintain the bank details of the vendor so that they would appear in payment advise to bank( Developed form). Is it in vendor master details. Then
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    In short the relevance of bank details in vendor master and how to display them in payment advice(when multiple bank accounts are there)
    Please help to resolve the issue
    Sapfrido

    Hello All,
    If there are multiple bank accounts specified in the vendor master data, and if it is required to select desired one while making the payment, then the field Bank Type can be used in the vendor master data.
    Against each bank of vendor specify a bank type say 0001, 0002 , 0003 etc...
    In the invoice, under the payment tab there is field name Partner Bank wherein you can specify the bank type mentioned in the vendor master. This will make sure the payment to this invoice happens through a specified bank.
    Regards,
    Sameer

  • Vendor Bank details for India

    Hello,
    how do I have to maintain the vendor bank details for an Indian bank? How are the country-specific settings for India in OY17?
    We have the following informations from our vendor:
    Bank name
    Steet
    City
    Swift
    Branch
    1. USD A/c
    2. EUR A/c
    Which information do I have to store in which SAP field (e.g. Bank key, Bank account, SWIFT code, Branch etc.)?
    Thank you already for your suggestions.

    Hi,
    You need to maintain the following in the Payment transactions tab of the Vendor Master:
    Bank Key:
    Select from the Standard Bank Keys that are already available in the system. If they are not available, you can create in T.Code:FI01. If they are available but with incomplete details you can edit the changes in T.Code:FI02. The details like Code/Name of Bank Key, Bank Name, Address, City, SWIFT code need to be entered. You can give the Code/Name of the Bank Key same as the SWIFT code if you do not have any details about the Bank Key from the Bank.
    Bank Account Number:
    This is to be given in the vendor master.
    Bank Address and SWIFT Code:
    No need to give these as they already forming part of the Bank Key.
    Branch Code:
    Branch code is identified in the Bank Account Number itself for each bank. Hence, no need to give these details separately.
    Regards,
    Kiron Kumar T.

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