Issue in F-26(Incoming Payments Fast Entry) Transaction

Hi all,
I am using f-26(Incoming Payments Fast Entry) tcode. In this for each customer with the company code and the payment term, depending on the document date, the cash discount is been calculated on the Gross amount for the line items of that customer.
In the tcode it will calculate, But I need to do the uploading using this tcode, and need to calculate those cash discount amounts in my code.Because of lot of payment terms, it is combossum to do it in the code.
Can anybody tell me how to handle this, is there any FM for this.?
Plz check the tables: BSID, T052.
payment term fieldname: BSID-ZTERM.
cash discount fields: T052-ZPRZ1, T052-ZPRZ2.
Plz check its very urgent, My ticket is escalting in 2 days. Plz reply me if any body has done this before.
Kumar

sorry kumar,
but there seems to be no fm for your purpose
discount is a very complex topic because of:
tax, foreign currency, day of payment,
booking net or gross, etc.
-> look include MF05AFA0_AUSGLEICH_MIT_BUCHEN
-> i guess, you've to program it by yourself
regards Andreas

Similar Messages

  • Incoming Payment Fast Entry

    Hi
    Can you tell me the easiest way that the users can process an incoming payment against a customer i.e. DR Bank CR Customer this could either be a payment on account, or be allocated to specific open items at a later date.  The users are used to entering multiple payments against customers and to actually enter one per customer and allocate them will make the process quite onerous for them.
    Your advice is much appreciated.
    Claire

    Hi Claire,
    The error "Diff too large for clearing" because of small difference amount.
    Go to OBA3 and see how you have allowed as small difference amount.
    Next questions is you want to post the payment without clear anything. Hope it is not possible except down payment.
    Because incoming or outgoing payment except down payment they might have open iteam already.
    Or do it as partial payment instead of residual payment.
    The new difference would be come as open item
    Regards,
    Sivakumar Sathiyamoorthy

  • Fast entry transaction for entering purchase order confirmations

    Does anyone know of fast entry transaction for entering purchase order confirmations similar to VL31N for inbound deliveries?
    Thanks

    dear John,
    if i m not mistaken you want to give confirmation control to your existing POs.
    If the case is this you can opt for a BDC to be run for updation.
    Ask your abaper to do this thing.
    revert back if this is not the the case.
    Njoy
    Ashish

  • Error while posting Incoming payment Cancellation entry in Current date

    Hi Experts
    Scenario
    Incoming payenet created on 31-05-2009
    Cancellation to be done on current date - 02-06-2009
    Current period selected as 010609 to 300609 in general settings
    When Incoming payment is cancelled - The system shows message ' The selected period is locked, Posting will be created in Current period', Continue - ?
    When YES is clicked - 'Date deviates from permissible range - (Journal Entry - posting date) Msg - (173-11)
    Document Numbering Journal entry is for Current period. (All the Journal entries are getting posted in current date, hence Document numbering is correct for Journal entry)
    PLEASE NOTE - The cancellation entry is needed to be passed on system date (02-06-2009) and NOT original document date of incoming payment (31-05-2009)

    Hi Sundaraja
    In 2007 B this issue does not arise, working FINE
    In 2005 B, there is option to set period as Current which I have done. and Active 'YES' & Locked 'NO'. Infact I have done this for all the periods of yr 2009-10.
    Still getting the error.
    Regards,
    Sid

  • Incoming Payment / Journal Entry

    Hi people
    I'm working in 2005 SP01 PL27
    I'm trying to do an Incoming Payment based in a Journal Entry.
    I have the follow journal entry
    Account: 572000 Credit: 185.2 (line 0)
    Account C00001 Debit: 185.2 (line 1)
    Code is like this
    lPago.Invoices.InvoiceType = SAPbobsCOM.BoRcptInvTypes.it_JournalEntry
    lPago.Invoices.DocEntry = mRS.Fields.Item("TransID").Value
    lPago.Invoices.DocLine = mRS.Fields.Item("Line_ID").Value ' Value (1)
    I fill CardCode and anymore mandatory fields, but and error message says me:
    Base document card and target document card do not match
    Any idea?
    Thnx in advance

    Hi Juli,
    iam programing at this moment a payment tool.
    i don't use Invoices.DocLine and its working fine
    btw - i think i had a similar problem when i didnt use
    oPay.DocType = rCustomer or rSupplier
    regards

  • Is there a User exit for fast entry transaction PA42

    I am trying to find a user exit for transaction PA42 Fast entry. 
    We currently have custom table that we check before allowing maintenance on employee data.  I have found user exits for transaction PA30 and PA40 but am struggling to find one for PA42 Fast Entry.
    Any assistance would be greatly appreciated.
    Shamshudin

    You can check the following...
    Determined from program DevClass     HRPBAS01     User Exit for HR Master Data
    Determined from program DevClass     HRPC0001     HR: PC download authorization
    Determined from program DevClass     HRRPAI01     User exit for FB HR_ENTRY_DATE and HR_LEAVING_DATE
    Determined from program DevClass     PARA0001     Enhancement for Determining the Number of Periods
    Determined from program DevClass     PARA0002     Enhancement for Calculating Annual Salary; IT0008,14,15
    Determined from program DevClass     PBASRP01     PA: User exit distributed reporting
    EXIT_SAPFP50M_001                          PBAS0001     PA: Pers.Admin./Recruitment: Default values and checks
    EXIT_SAPFP50M_002                          PBAS0001     PA: Pers.Admin./Recruitment: Default values and checks
    EXIT_SAPMP50A_001                          PBAS0002     PA: Enhancements for Personnel Administration - Menu

  • After doing Incoming payment using ( F-26) cash receipt has to print (FBCJ)

    Hi all,
    After doing 'Incoming payment fast entry' using Tcode F-26, while saving cash receipt has to print from Tcode. FBCJ . any chance to print like this or it is not possible ? kindly guide me on this .
    Thanks in advance
    JK

    Quoc,
    You can use the correspondence for internal document (SAP09) for printing the document you are posting.
    In SPRO go to Financial Accounting --> AR and AP and then customer Account --> Line item and then correspondence.
    There you have to attach the form developed by the ABAPer to the correspondence SAP09. ABAPer has to copy the exiting standard foprm attached to the correspondence and do the changes and design the layout as per the requirement.
    When you post the document , you have to attach the relavent correspondence (SAP09) to the doc and then go to F.64 tcode and execute with the inputs in the selection screen such as Correspondence, doc number, fiscal year .
    Regards..

  • Process Incoming Payments for Multiple Customers

    Hi,
    I am currently using F-28 to process incoming payments.
    Is there a way to process <u>more than one customer</u> with this function using F-28?
    If not, is there another function that handles?
    I just have <b>two customers</b> to process.
    Regards,
    Ved

    Hi,
    Go to F-26 incoming payments fast entry .
    first you enter one customer incoming payments after clear that go to Menu option Edit -> select more. there u specify the another customer number and go ahead.
    If it is helpful assign points, any problem reply

  • Issuing receipt  for Incoming payment

    There is need to issue a receipt for the incoming payment recieved,is there any transaction in Gl where we can issue a receipt for incoming payment.

    Hello Kumar,
    Unfortunately, it is not possible to create a UDF in any wizard.
    Kind Regards,
    Marcella Rivi
    SAP Business One Forums Team

  • Entering Incoming payments throught externally

    Dear All,
    One of our client wants to enter Incoming payments throught externally in SAP B1. Exact requirement is as follows.
    1. Currently User is using X customised Application.
    2. He wants to use his Application to enter Incoming payments (Receipt entry) in SAP B1 (As soon as he save X application reciept entry same transaction should generate in SAP B1 also).
    3. He dosn't want to use Migration option.
    Any one has done this kind of customisation using SAP B1 data?
    It is possible to enter such data from third party application?
    What possibilities are available ?
    Regards,
    Manish

    Hi,
    of course you can make an external program.
    just connect via DIAPI using the oCompany object and you have access to the payments object !
    regards
    David

  • Fast entry for Loans @ PA70

    Hi Experts,
       We have a requirement to create a customize dialog program for Loans fast entry (IT0045), but i found transaction PA70 for fast entry but it does not include Loans.. can I add loans fast entry at PA70? if yes, how can I do it? instead of creating customize program..
    Thanks in advance...

    Hi,
    I dont' think that the IT 0045 (Loans) can be added in the Fast Entry transaction PA70. This is because some predefined program is run in the background for maintenance of different infotypes through PA70.
    You will need to go for custom development to cover your requirement.
    VK

  • Cancel incoming payment

    please i entered the incoming payment through the transaction code F-28 after saving i guess that i made a mistake regarding the bank account ,it is for another company, i want to cancel the incoming payment
    many thanks in advance

    Dear,
    Go to tcode FBRA and give the clearing number generated at the time of payment receipt.
    and select reset and reverse option

  • Please help with Posting Keys For Fast Entry (t.code OBXJ)

    Dear experts,
    Please help me to be more familiar with configurtation of Enjoy Transactions (t.code OBXJ). I want to configure fast entry transaction and change standard assignement of posting key. But there are no editing options in this transaction, just three transaction keys are predefined and posting keys are assigned to them (those are changable). But where to see what those transaction keys mean? And what could be your proposals, how to configure this IMG step?
    Thanks!

    Hi,
    t.code OBXJ is for automatccly postings, normal you never change the standard posting keys.
    In the block line items you can select colums you need and place the one's you need to the begin of the screen and in the right top corner of posting line items you can click an save this as (default) variant.
    When you want to use an other posting keys you use the option complex posting (F6)
    Paul

  • Changing ad hoc selection fields in fast entry (PA70)

    Hi,
    I'm trying to change the list of fields that are shown when you use the fast entry transaction (PA70) and use the preselection with ad hoc query.
    It looks like there is an infoset linked to this option, but I cannot seem to find where it is specified, or if this is defined differently, how it is done altogether.
    I guess this will be solved as well if I know the answer to the previous question, but I would also like to know if we can make this list dependent on user parameters (or other settings), which would be interesting since we're in a multinational environment, with different requirements per country... 
    (I'm afraid this will be a though one though)
    thanks in advance,
    Guy Moens,

    Hi
    After declaring selection screen fields.
    select the field to handle validation and click on the button 'Check coding for
    Element' .
    you will get a block to handle the validation.

  • Issue in Incoming payments

    Hi
    We have an issue in incoming payments for Customers. In our legacy, the incoming cheques are collected and entered in legacy with details of customers, bank details of instrument, amount, date of instrument. No accounting entry is generated at this stage. Then a second person, verifies the details with physical instruments and  just selects the bank. The system passes the accounting entry and prepares the bank deposit reciept.
    We suggested using F-28 for booking customer incoming payments. But the client is insisint on the process to be mapped in the same way as Legacy
    Regards
    Sanil Bhandari

    Hi
    We have shown the F110 process also to the customer. The issues are
    1. The Cheques are receieved at the Customer's location and then are sent to respective banks. The bank cannot provide a DME format
    2. The process and the screen has to be exactly as per the legacy
    Regards
    Sanil

Maybe you are looking for

  • Problem in creating a maintenance view for a ztable

    hi, all, what should I fill in the function group and authorization group and other contents required? thank you in advance, I really confused with it.

  • Portal Runtime error occured while integrating WebDynpro App

    Hi all, An exception occurred while processing a request for : iView : N/A Component Name : N/A Application URL ':///webdynpro/dispatcher/local/Example_FL/ExampleFLApp' is not valid! Please check the protocol and host entries for system 'SAP_R3'.. Se

  • MacBook Pro 10,2 won't start after online restore

    I bought this MacBook to repair as it was sold with a 'stiff trackpad', i.e it wouldn't depress when it was clicked. The tap to click function still worked so it was still a perfectly usable laptop. Anyhow, the good news is that I fixed the trackpad

  • FB02- update XREF3 fields for G/L account also

    Hi all,    My requirement is to update the XREF3-> fields using transaction FB02 for the all accounts (Customer, G/L , Vendor) I have used Function module FI_DOCUMENT CHANGE whcih is updating the XREF -> fields for only Customer account.I want update

  • P_trace & p_debug as a report parameter

    I want to pass enable debug & trace for the report . I need to pass the parameter p_trace and p_debug for enabling trace & debug . I just want to know how I handle this parameter & enable trace & debug