Incoming payment method for cash

Hi,
Could anyone explain how to create incoming cash payment method in FBZP?
No document type is required for payment /clearing as it is cash invoice with immediate clearing.
Thanks,
Ben

Hi Ben,
check these links, I think they can help you.
http://help.sap.com/saphelp_rc10/helpdata/en/f4/1fae3aa8cd4da085c1585d2861eec5/content.htm
http://help.sap.com/saphelp_sbo88/helpdata/en/44/ea2280bbc903fde10000000a1553f6/content.htm
http://help.sap.com/saphelp_sbo88/helpdata/en/45/1830edc2eb10a5e10000000a11466f/content.htm
http://www.scribd.com/doc/55883571/20/Business-Transaction-%E2%80%93-Automatic-Incoming-Payments-FBZP
FBZP config
http://help.sap.com/saphelp_sbo2005b/helpdata/en/e9/c1f6c6d612644db4400890f88b21e1/content.htm
Best regards,
Cristiano Silveira

Similar Messages

  • Error : FZ010 : Enter a payment method for incoming payments

    Hi,
    I am running F110 and paying intercompany vendors/customers.
    I am running payment run for Compony 0050 and paying my vendor VEND0060 and CUST0060.
    The balance of vend0060 is 2 million(credit) and  balance of CUST0060 is 1 million (Debit).
    So I am going in Reallocate and changing the bank details as getting exceptioin in CUST0060. But it gives out an error "Enter Payment method for incoming payments"
    We have just configured outgoing payment and actually as credit balance is more, it should not give this error.
    Does any one know solutin for this?
    Error in details:
    Enter a payment method for incoming payments
    Message no. FZ010
    Diagnosis
    The balance of the items to be paid requires a payment method for incoming payments. You specified a payment method that is defined for outgoing payments.
    System Response
    The payment method is rejected.
    Procedure
    Enter a payment method for incoming payments.
    Thanks
    JR

    In the master record of the customer/vendor, ensure that the appropriate payment methods are maintained.  If you click on F4 on the payment method field, you can see different methods available for Incoming Payments and different methods for Outgoing payments.
    Assign points accordingly.
    Thanks,
    Madhav Nanduri

  • Payment method for incoming payments

    Hi,
    I am trying to net off a customer balance against a vendor, however system is asking me to define a payment method for incoming payment for customer line items.
    could you please suggest me where to define payment method for incoming payments.
    Your prompt help is greatly appreciated.
    Thanks
    Ramesh.

    call transaction FBZP
    double click of "payment Method in country"
    here you defined the payment metod at country level & company code level
    plz assign point as way of thanks

  • Payment methods for automatic incoming payment processing.

    Hi,
    We have been using 'f110'  program for automatic outgoing payment processing. Now we are trying to set the incoming payment processing using the same program.  It should be mentioned that its a Canadian organization.  For outgoing payment, we have been using Bank transfer method, one of the available methods for outgoing payment. Our organization wants the same bank transfer method for the incoming payment processing. However, Bank transfer method is not belong to the group of incoming payment methods, rather it has the following methods:
                          1. Debit memo
                          2.   Bill/ex
                          3. Bill/ exch. pyt req.
                          4. Payment demand .
    I am just wondering is there anyway we can include the bank transfer method inside the incoming payment group or we can use any of the existing method for the same purpose.      
    Reagrds,
    Lokman

    Dear Lockman,
    The payment method "B" can just be:   
    If outgoing payment:   Bank Transf           
    If incoming payment:   Debit memo            
    So Debit memo means Bank transfer for incoming payment.
    I hope this helps.
    Mauri

  • Restricting Payment Method For Customers

    Dear gurus!!!
    My client has the following requirement in which he desires that
    1- Can we receive incoming payments from customers with different payment methods. In our assignment field we give the cheque number or deposit slip etc... which is freely definable, so we want to restrict the payment method against customer considering that there is no option of "payment method" in the incoming payments screen f-28.
    we want to restrict incoming payments from certain customers via cheque or cash.
    does any one has any ideas on how to fulfill this requirement
    your help would be highly appreciated ....
    thanks
    Aurangzeb Khan

    Hi,
    You can only use the payment methods assigned to your customers using the automatic payment program. Determine a house bank for these payment methods. With this it will determine which account to be used, when the customer paid in cheque or cash.
    Create a payment method for INCOMING payment for cheque and cash. After that you assign the payment to your customers. When you receive the payment, you won't use f-28 but you will use F110 instead. Select the payment method for this customer and the customer. Once you're done up to posting, the payment is posted to the specific account for cheque or cash.

  • Error: No permitted payment method for Payment Praposal in F110

    Hello Experts,
    I am trying to tigger an Idoc for payment from F110 and am getting the following error:
    Job started                                                                       
    Step 001 started (program SAPF110S, variant &0000000002133, user ID )       
    Log for proposal run for payment on 27.01.2005, identification                                                                               
    Additional log for vendor 3803 company code 3000                                                                               
    Due date determination additional log                          
    Document 1900004238 line item 002 via USD      100.000,00-                
    Terms of payment: 27.01.2005    0  0,000 %    0  0,000 %    0             
    03 days grace period is being considered                                  
    Payment must take place before 30.01.2005; next payment on 26.04.2008     
    Item is due with 0,000 % cash discount                                                                               
    Payment method selection additional log                               
    Payment method selection for items due now to the amount of USD      100.000,00- 
    Payment method "C" is being checked                                              
    Bank details are being checked                                                   
    System reads house banks and checks if they are allowed                        
    Our bank 3000 is being checked                                                   
    Bank different from the specified bank DBKA in master record or items            
    Our bank 3200 is being checked                                                   
    Bank different from the specified bank DBKA in master record or items            
    House bank is selected ...                                                     
    No permitted payment method exists                                               
    Information re. vendor 3803 / paying company code 3000 ...                         
    ... payment not possible because of reported error  
    End of log                                                                         
    Step 002 started (program SAPFPAYM_SCHEDULE, variant &0000000001217, user ID )
    Step 003 started (program RFFOEDI1, variant &0000000000042, user ID )        
    Program RFFOEDI1: No records selected                                              
    Step 004 started (program RFFOAVIS, variant &0000000000044, user ID )       
    Program RFFOAVIS: No records selected                                             
    Job finished   
    Plesase suggest its very urgent.
    Thanks,
    Suma
    Edited by: Suma B on May 3, 2008 9:42 AM

    check payment in vendor master or invoice line items. May be payment method entered in parameters is different from vendor master data and invoice.
    Check Payment method configuration for country and Company code
    In Payment method for company code
    check
    minimum and maximum amount
    foreign payments allowed or not
    Check Bank determination for paying company code combination with payment method

  • AR dunning even if document has an incoming payment method

    Hi,
    Our company have a situation where we need to dun documents even if there's an incoming payment method defined either in the customer master or in the document.   I know that the SAP standard behaviour says its not possible to dun these documents.   But I am wondering if someone out there has managed or was able to get around this?
    In some SCN topics, it says that BTE 0365 can be used to achieve this.  That BTE says its for contract accounting but we are only using the regular AR module.   Moreover, I can only see BTE no. 1705 to 1770 but not 0365 (if there is such a BTE, may someone give me direction where I can find this?)
    I am more of a functional person rather than an ABAPer so I apologize if my question seems to be inane. 
    Appreciate all the help.  Thanks!
    BR,
    Tess

    Hi Tess,
    TCODE:FIBF. Entre BTE framework.
    Environment->Info system(P/S): These interfaces can be enhanced function requirement, but cannot change any data.
    Environment->Infosystem(Processes): These interface can be copied and enhanced. And can change table data and change parameter data.
    You saw 1705 to 1770 which are info system(P/S).
    You can check Infosystem(Processes) again.
    click on the interface button in the second tool line. You can see the parameter of interface.
    check the parameter which you need.
    Thanks,
    Yawa

  • Payment Method as Cash - Quick Pays

    Hi,
    I have a requirement. Payroll people want to pay all the Quickpays as Cash mode to employees.
    Can any one tell how to make the cash payments & how entreis will effect.
    Regards
    Sai

    Hi Avaneesh,
    Thanks for the reply. If i override the payment method as cash at quick pay screen. But how the casher will give cash to the employee. Is it the manual process.
    Manual Process Means: take quick pay SOE reprot and attach to the Payment Voucher & take emplolyee signature and give cash to employee & then casher pass one manual GV. Is this the process.
    or Any automation is there in cash payment. Daily they want to run some 40 to 50 quick pays as Cash Payment.
    Regards
    Sai

  • Direct payer 'Incoming payment method E'

    Dear Friends,
    1) What is Direct payer..?
    2)In transaction FD03, for a  Customer under company code tab, payment transactions
    what does 'Incoming payment method E' mean..?.       
    Can you kindly explain me ..? Thanks in advance.

    Hi Kim,
    By default in the IS-U print form, the payment method is derived from the print doc header as you stated but in your case this is blank even though you are successfully debiting the customer's account because the payment method is configured on the CA.  I have seen this before too and I believe it has to do with some config in the way that you are running your pre-authorized bank debit.  This is probably not a problem and you likely do not need to change config or worry about the payment method showing in the print doc header.
    The quicker fix might be to adjust the code in the print form to look at field EZAWE on the contract account to determine if/when to display the appropriate payment method message.  for example:
    CASE wa_doc_header-pymet. "REMOVE AND EVALUATE BELOW INSTEAD
      case wa_cont_acct-ezawe.
        when '1'. gv_pymet_message = text-p01.                  "1st
        when '2'. gv_pymet_message = text-p02.                  "10th
        when '3'. gv_pymet_message = text-p03.                  "15th
        when '4'. gv_pymet_message = text-p04.                  "25th
        when 'D'. gv_pymet_message = text-p00.
        when 'E'. gv_pymet_message = text-p00.
        when 'P'. gv_pymet_message = text-p00.
      endcase.
    I hope this is of some help.
    Regards,
    geoff

  • Dunning contract accounts with an incoming payment method

    Hi gurus, is it possible to dun contract accounts which have an incoming payment method active? if is not possible at the standard can you modify an event?
    Best regards.

    Thanks Bill for your answer, I am confused with what stated at event 365:
    Event 0365 is used in the dunning proposal run for Contract Accounts Receivable and Payable.
    In event 0365 you can check the payment method from an item - this results from the contract account, the contract, or the item itself.
    If E_XCASH = 'X' is returned, the item is dunned, even if a payment method is specified in the contract account, the contract, or the item.
    Does this applies only when the payment method is at item level???
    Thanks in advance.

  • I already have a valid payment method for my iTunes account, but can't get past the Family Sharing setup prompt telling me to add a payment method . What to do?

    I already have a valid payment method for my iTunes account, but can't get past the Family Sharing setup prompt telling me to add a payment method . What to do?

    I had the same problem and found a bunch of others did, too.  Unfortunately all the posts had no responses!  Anyway, I previously had my payment method linked to my paypal.  I tried changing it to my credit card and it worked.  Don't know if there's a bug with using paypal but that seemed to be the culprit for me.  Good luck!

  • I have a ipod touch 2nd generation 8gb 4.2.1 im new to itunes i made a itunes account but it says i need a payment method is there anyway i can use my paypal if not is there a way to not have to use a payment method for itunes store please help ty

    i have a ipod touch 2nd generation 8gb 4.2.1 im new to itunes i made a itunes account but it says i need a payment method is there anyway i can use my paypal if not is there a way to not have to use a payment method for itunes store please help ty

    Create a NEW account using these instructions. Make sure you follow the instructions. Many do not and if you do not you will not get the None option. You must use an email address that you have not used with Apple before.
    Creating an iTunes Store, App Store, iBookstore, and Mac App Store account without a credit card
    Using those instructions you may also be able to select PayPal if that is allowed in your country.

  • Automatic payment method for business area wise or profit centre wise?

    hi,
    tell me about customization of Automatic payment method for business area wise or profit centre wise? or where we have to assign
    Regards,
    Munna
    Edited by: munna !! on Jan 18, 2008 7:38 AM

    App?

  • Payment methods for 3G on iPad?

    Apple isn't too clear about the accepted payment methods for activating 3G service on the iPad and I really really do NOT want to use a credit card. Can I use iTunes gift cards? Can I use a prepaid Visa (or other provider) gift card to pay for the service? Thanks!

    On this webpage they explain the sign-up process for iPad 3G:
    http://www.apple.com/ipad/3g/
    They have only mentioned credit card here. So I would not expect any other forms of payments to be accepted. If other forms were accepted they would have mentioned it. iTunes gift cards would definitely not work IMHO.

  • Need help finding the default payment method for supplier site in R12

    I am using the following query to find out what the default payment method is for a supplier site.
    select pv.vendor_id ,
    pvs.vendor_site_id,
    iepa.ext_payee_id,
    ieppm.payment_method_code
    from ap_supplier_sites_all pvs
    ,ap_suppliers pv
    ,iby_external_payees_all iepa
    ,iby_ext_party_pmt_mthds ieppm
    where pv.pay_group_lookup_code = 'EMPLOYEE'
    and pv.vendor_type_lookup_code = 'EMPLOYEE'
    and pv.employee_id is not null
    and pv.employee_id =92584--p_person_id
    and pv.vendor_id= pvs.vendor_id
    and pvs.vendor_site_code = 'HOME'
    and pvs.pay_group_lookup_code <> 'ATTACHMENT'
    and ((pv.end_date_active is null) or (pv.end_date_active >= sysdate))
    and ((pvs.inactive_date is null) or (pvs.inactive_date>= sysdate))
    and pvs.pay_site_flag = 'Y'
    and pvs.vendor_site_id = iepa.supplier_site_id
    and iepa.ext_payee_id = ieppm.ext_pmt_party_id
    and ieppm.primary_flag = 'Y'
    and pv.segment1 = '131678'
    The problem is that I am returning two rows.
    I have gone in to the application and changed the default payment method from 'Check' to 'Electronic' and I am able to see the change on one of the records, however I am unable to determine how I'm supposed to narrow it down to just this record. I am pulling what hair I have left out!
    Please help.
    Chris

    Here is the generic query for some one who is faing problem like us.This query will return all the payment methods for all sites of a supplier
    SELECT ieppm.payment_method_code,ieppm.inactive_date
    FROM ap_supplier_sites_all assa,
    ap_suppliers ass,
    iby_external_payees_all iepa,
    iby_ext_party_pmt_mthds ieppm
    WHERE ass.vendor_id = assa.vendor_id
    AND assa.pay_site_flag = 'Y'
    AND assa.vendor_site_id = iepa.supplier_site_id
    AND iepa.ext_payee_id = ieppm.ext_pmt_party_id
    AND ass.segment1 = '10033' -- Supplier Number
    AND( (ieppm.inactive_date IS NULL)or (ieppm.inactive_date > sysdate)) ;

Maybe you are looking for

  • Dump while setting a break point in ECC 6.0

    Dear Experts, In ECC 6.0, when I try to put a break point in the program to stop the control there. I am not able to do so, it is going to dump. The dump message is also not very clear. Do anyone of you are facing the same problem. Any idea why is th

  • C6150 Photosmart Print problem with photo files only

    Operating system : Microsoft Windows Vista Ultimate 32  Connected to your PC : Wireless Network Problem description : Attempting to print photos with Adobe Photoshop or MS Office Picture Manager fails. The job appears in the print queue, the size get

  • Missing information in the Manual

    HI ALL Well I went and changed my perfectly working PC Motherboard from an 845 max3 to a 875 Neo and then things went wrong   So firstly to help with anyone who answers me here is my setup P4 2.6 (possibly fried now) 750 meg DDR 400 ram 1 x 256 and 1

  • How do you make list of songs to buy in iTunes using AppleScript?

    I'm trying to write an AppleScript program to create a list of songs that the user doesn't currently own. The idea is that my script would load a playlist from somewhere, then let the user listen to samples and buy some or all of the songs. This woul

  • Not able to expand Treetable structure programmatically

    We had implemented expanding Treetable structure programmatically. But when we are uptaking our UI to PS4, the expand operation is not working and we are getting exceptions. We are expanding Treetable through program, for example when try to expand f