Invoice block - Work Flow

Hi,
Pls advice where and how to define the user ID for Accounts payable as to who will receive the mail for invoice rectification.
Regards,
Thimmaiah B.M.

Please check the Workflow log. By default whenever you create or act on any workflow workitem it will appear by default in your SAP Outbox.
Thnaks
Arghadip

Similar Messages

  • Work flow popup

    Hi Experts,
    I am developing FI Invoice approval work flow by extending FIPP business object.
    I have a decision task with APPROVE,CHANGE,REJECT buttons.
    if the user press CHANGE or REJECT buttons then a pop up should come to enter the reason details.
    The popup should have ok and cancel button and IF the user pressing the cancel button of the popup with put entering any reason then i should retain the decesion task .currently i have created the pop up in seperate task after the decesion task.
    Once they click on change or reject button ,pop up is coming but  as the popup is developed in next task of decesion ,i am unable to retain the decesion task ,if the user press the cancel button of the pop up with out data.
    Please anybody provide me suggesstions how to handle this issue.

    Hi,
    Please verify this link.
    CATSXT_SIMPLE_TEXT_EDITOR FM for popup in Rejection Workflow
    and the wiki link
    http://wiki.sdn.sap.com/wiki/display/ABAP/ApprovalDecisiononApproveorRejectwithReasonsor+Comments
    -Keerthi

  • Invoice Block - Tolerance Key KW

    Hi, can someone give example of scenario how toleracne Key KW for invoice block works?
    Thanks!

    hi,
    Example:
    Suppose if you have set the del. cost in the PO as A...
    After this you do MIGO...
    And then you come to MIRO, and in between suppose if the delivery cost increases or decreases(may be due govt. rules),
    then in that case you try to save amount/pay more to the vendor.. or
    In case if any or your employee is not entering the del. cost properly, then in that case, system shd check internally and throw a message for you and if req. block the invoice...
    So, in that case just for precautions you use the this tolerance key...
    if in case this happens assuming with my first example then you may need to release this IR manually..
    Formula i have provided above by which system calculates this all..
    Regards
    Priyanka.P

  • Work flow block in credit memo request

    Hi Friends,
    I want to create a credit memo. I am creating the credit memo like: Sales order>Invoice>Credit memo request-->credit memo. Now my credit memo request is got created but is assigned with Workflow block at header level, now when I am going back in VA02 and saving it after removing the block at header level, but when I am again checking in VA02/VA03 work flow block is there. Now when I checked that in my workflow , it is in outbox and but I am not able to approve it becoz it is in outbox.
    Where it is going for approval , it is only created by me and I don't see any approver field in credit memo request screen.
    In the wrokflow outbox am getting that block CMR --as completed and get CMR approver as Error.
    How can I remove the workflow block ? Any pointers.
    Regards
    Ashu
    Edited by: ashutosh p on May 20, 2010 1:39 PM

    Please check the Workflow log. By default whenever you create or act on any workflow workitem it will appear by default in your SAP Outbox.
    Thnaks
    Arghadip

  • Parked Invoices Work Flow Logging Mechanism

    Dear ALL,
    From functional end how can we apply a release strategy on Invoice parking? Is there any separate logging mechanism of the release?
    We have developed standard work flow for logistic invoice verifications and as well for direct invoice parking. The user requires the each document park status report. Is there any way we can check the status of document in report form.
    Regards
    saqib usman

    If invoice x parked by user A then it will go to his inbox of User A. when user A accept and approve from inbox it will automatically goes to User B. User B will open his inbox to check his wrkflow items, after checking and approving park doc x it will further goes to user C. Now status will be that invoice is at user C inbox after further verification user C will post the invoice. 
    The above example is for work flow understanding. now is there any way that system will tell us where the invoice is parked at what user level etc.
    Hope it is understandable

  • The work flow of AR invoice to AP Supplier? (Urgent)

    Hi Experts,
    I am a new user of oracle finanical. There are some urgent issues I need to solve and I could not able to find in Google. Hope someone can give me a helping hand.
    We are on 11i (Oracle Financial modules only: GL/AP/AR/FA), I want to ask about how to make the work flow of AR invoice to AP Supplier (e.g. promotion fee).
    1. Should we create a customer account and make a invoice in AR for AP Supplier?
    e.g. create a AR invoice
    DR Receivables $1000
    CR Revenue $1000
    2. Could we settle/match the AR invoice in AP outstanding as requested by AP Supplier?
    And if yes, how to do it and please tell me the detail work flow? And if not, any solution?
    Thanks
    Sam

    Hi Sam.
    When you run the Supplier Customer Netting Report you may find that:
    -The balance is in your favor.
    -You have to pay to the supplier.
    For both cases you should create a Bank Account to address the netting operations.
    Let’s suppose you face the following situation:
    -Customer’s balance is $500
    -Supplier’s balance is $600
    In this case you have to pay $100 to your supplier.
    Using the netting Bank Account record a receipt of $500 and apply it to your customer invoices:
    DR     Netting Bank Account     $500
    CR     Receivables          $500
    Your customer’s balance is now zero.
    Record a debit memo in AP against the supplier:
    DR     Liability
    CR     Netting Bank Account     $500
    Your supplier’s balance is now $100.
    Issue a payment in this amount using your normal bank account.
    DR     Liability          $100
    CR     Cash          $100
    Your supplier’s balance is now zero. Netting has been done. Check the Cash Account used on the netting Bank Account on a regular basis. If the balance is not zero then something is wrong.
    Octavio

  • Regarding work flow for credit block release in sales order

    Dear Experts,
    Kindly help me with work flow-
    my scenario is if customers credit limit of 5000$ exceeds in sales order it should be blocked and notification should go to authorize person through simple mail to release this block.
    for this i have done settings in out control i have used output type krml and determined partner as employee responsible to release block in customer master but mail is not triggered to authorized person for credit block and how i can create work flow for this so that authorized person should get notify for credit block as well he releases block also.
    Regards
    Supriya

    Dear supriyaparimal,
    Please find the below points to fix your issue.
    1. Configure the out put determination by using the condition type KRML.(Hope oyu have done it already).
    2.Maintain the condition records in VV11 for condition type "KRML"
    3.Then select the condition record and click the communication tab .
    4. If you want to give any information you can use "Note for recipient".
    5. If the information has to be sent to relevant person you recipient name in the recipient column.
    Save the documnet.
    If you raise the sales order and if it is blocked then system automatically send the information to respective person.
    You can get this in formation in ""SBWP" transaction code.
    Check the in box, the information what you have mentioned in the condition records will be appeared.
    Please let me know if you have any clarifications
    Thanks&Regards
    raghu.k

  • Std Work flow for Invoice Parking & posting

    I am working om std SAP workflow for invoice document parking :
    I have done the following activities :
    1. Activate Work flow Template for Document Completion
    Here i activated the event "Complete the Parked Log. IV Document"--> Incoming Invoice Document Parked. It is showing a green traffic light .
    In agent assignment
    Complete the Parked Log. IV Document>Complete the Parked Log. IV Document>Complete the Parked Invoice--> i have assigned the user MMCONFIG
    2. In Define Release Criteria i have the following settings :
    1000 H Credit 0.01 INR US MMCONFIG
    1000 S Debit 0.01 INR US MMCONFIG
    3. In Activate Workflow Template for Release for Posting
    Here i activated the event Incoming Invoice Complete: ReleaseRel & i m getting a green traffic light .
    In assign agents i did the following
    Release the Completed Log. IV Document>Release the Completed Log. IV Document>Release the Completed Log. IV Document i assigned the user MMCONFIG
    In Invoice Parking: Approve Release i assigned the user MMCONFIG .
    For Invoice Parking: Release Invoice
    Invoice Parking: Posting an Invoice " I AM NOT ABLE TO ASSIGN ANY USER AS THESE ARE BACKGROUND TASKS ".
    Now when do a MIR7 - Park invoice & save the invoice as complete i am getting a mail in the mail box of MMCONFIG saying :
    "Invoice Release 5105xxxxxxx 2009, Completed by MMCONFIG "
    I go & release the same invoice .
    Then i executed MIRO & tried posting the released invoice . The sysem doesnt allow me 2 post the invoice .
    It automatically goes to MIR4 transaction & forces me to save as complete
    if i try to post it the system says "Parked document is release-relevant and cannot be posted"
    Pls tell me how can I post the invoice & IF MY SETTINGS FOR THE WORKFLOW IS OK ???
    Regards
    Anis

    Firstly,  check with the Binding of the event and workflow, if they are fine
    then check if the workflow gets triggered when you are posting... to check this,
    First go to transaction SWU8 - turn on the workflow trace and then
    Proceed with posting the invoice
    go to transaction SWU8 again and then turn off the workflow trace
    go to SWU9 - to check which all workflows got triggered....
    If there is any workitem in your workflow, then go to SWI1 and select the workitem of that workflow and press shift+F8 to check the status of it and also check to which all agents it had sent...
    If possible just give a hardcoded value in the workitem for testing purpose and check if that goes properly, later on implement the rule.....
    If the workflow does not triggere - go to transaction SWETYPV and deactivate and activate the event linkage with that workflow....
    Regards,

  • Work flow for invoice verification

    I would like to know how to find out/display the workflow related to MIRO transaction code, miro is invoice verification, how to find the z table created for this workflow.
    given a work flow template number, how to view this template
    thanks

    Hello,
    For MIRO the associated :
    1) BOR : BUS2081
    2) Workflow : WS20001004
    Can you elaborate your requirement on z table?
    If i have correctly understood your requirement :
    To display the workflow template, run Tcode SWDD or
    PFTC, select WS Workflow Template and give the workflow number without the prefix 'WS'
    To make sure the Workflow is triggered, make sure the entry SWETYPV.
    Run SWELS, and switch on Trace.
    Run TCode : MIRO and check in SWEL, to make sure the Workflow has triggered without errors.
    To start with, i hope this helps...
    Cheers,
    Remi

  • Work- flow blocked sales order

    Good evening to u all.
    I wanna know whether there is any standard work flow in SD for the blocked sales orders (For any sort of reason) ? So that the authorised users will receive an email once the sales order is blocked due to certain reasons.
    <removed by moderator>
    regards,
    satish
    Edited by: Mike Pokraka on Aug 4, 2008 10:45 AM

    Hi,
    I dont think that there would be any Standard workflow
    available that matches your requirement but surely you can
    create one workflow according to your requirement
    check the object 'SalesOrder' otherwise you could take a copy
    of that and create a method which fetches all the blocked
    sales order from the table and triggers a mail according to your
    requirement.
    Kind Regards
    Hari Sankar M

  • SWFXST_STRING  block or local work flow

    I found that when they use block step type or local work flow they r creating a container with reference type <b>SWFXST_STRING</b> and binding it to block or local work flow. Can anyone explain me in detail y this is being done.

    Hi Hari,
    The local workflow has the same container as the main workflow. The local workflow is started with a local event which normally is triggered within the main workflow. Apparently a container element of this kind is needed in the local workflow which is of this type and will be filled from the local event.
    For more info you can check the <a href="http://help.sap.com/saphelp_nw70/helpdata/en/c8/bfc39b0fc57a49a0291378f8be0cd6/frameset.htm">SAPHelp</a>.
    SWFXST_STRING seems to be a string for xml data (as far as I can see from the datatype). Why it used in your case I couldn't say. Maybe it is in the documentation of this workflow.
    Regards,
    Martin

  • Triggering a sub work flow for multiple users at same time.

    I have a scenario in which I have created sub workflow as an activity for approval process. This sub work flow should be triggered for multiple users at the same time and their decison is independent of each other.
    This is like creating multipe instance of the same sub work flow and then the sub work flow runs indepedently as a new work flow for each of the approver and the process is completeded for approver independently.
    How can this be achieved?

    Tyr to do like this,
    1. First include the subworkflow in the main workflow template.
    2. Now include standard Block Step in the main workflow template.
    3. In the block select the block type as ParForEach.
    4. Before doing the 3rd point make sure that all the agents for whom you want whom you want to initiate the workflow, populate them in a Multiline conatiner element.
    5. Once completing 3rd and 4th points open the block step under the tab ParallelProcessing  assign the multiline container element name in the   for e;g if the multi line container element name is COSTCENTER then do the binding like below. the conatiner element COSTCENTERLINE is created by default once you include the multi line conatiner element under parller processing tab.
    &COSTCENTER[&_WF_PARFOREACH_INDEX&]&   -------->     &_COSTCENTER_LINE&
    Now assign the agent of the subworkflow as COSTCENTERLINE , imean if suppose you have 3 entries in the internal table then three separate and for three different agents the workflow is instantiated.

  • Work flow in iLife

    Hey kids,
    I have A BUNCH of video that I need to boil down in to multiple DVDs with multiple chapters per DVD (about 8 hours). Is there a description of a good work flow from iMove to iDVD described anywhere,....Do i need to export each "chapter" as a movie and then import them into iDVD in order to maintain a chapter structure?. If so what is the best way to do this,...HELP , PLEASE!!

    That's a lot of video! In general, the workflow I prefer is doing editing in iMovie, quitting, then open iDVD and import the video. iDVD has 3 options for converting video into the correct format for DVDs, and you set this in Preferences (up to 60 min=Best Performance; up to 120 min=Best Quality; the Pro setting takes longer, but does a better job with the more highly compressed 2hr video). With so much video, it might make sense to divide your footage by 110 minute blocks (there needs to be room for a few other files so you can't fit a full 120 minutes of video on a single layer DVD).
    That's a high level overview; Klaus' links will give you more details; the "Missing Manual" and other books will provide lots more detail; and the forum here is good for questions.
    John

  • Confirmation Control Work Flow  in Purchase Order

    Hi Gurus,
       Can anyone explain me about the Confirmation Control Tab Work Flow in Purchase Order.
       If i select the Conf. Control in Purchase Order, next what process has to follow?
       Thanks in Advance
    Regards,
    Prabhakaran M

    Hi Prabhakaran
    The Confirmation Control tab has a field for selecting the COnfirmaiton control Key for the PO Item. This key Determines which confirmation categories are expected for a PO item (e.g. order acknowledgment, shipping notification).
    There are four categories delivered in the standard system, which decides whether you need only a ASN for a PO Item, or ASN with a rough GR, or Rough GR only etc.
    Once you have this key set up, system expects you to create that document for this item before you process the GR or Invoice.
    You can also set up automatic ASN creation if you have EDI Integration with the vendor.
    Benefit of ASN is that you ve the confirmed delivery dates and quantities well in advance and warehouse/Inventory team can plan their operations accordingly in advance...
    I hope this clarifies your questions
    Regards
    Virender Singh

  • Work flow - sales order

    Good evening to u all.
    I wanna know whether there is any standard work flow in SD for the blocked sales orders (For any sort of reason) ? So that the authorised users will receive an email once the sales order is blocked due to certain reasons.
    If u have so would u please give me the documentation or any urls please.
    Assured reward points.
    regards,
    satish

    Hi Avinash thanks for ur time. You would say that there is no standard SAP work flow for this sinario and it is not complicated to create one. Right? thanks once again.
    Regards,
    satish

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