Issue in Turkey DME payment file

Hello Gurus,
We have an issue in F110 payment file. We have configured DMEE for "GARANTI BANK" for Turkey country.  we have encountered an issue while creating payment file in F110.  System is not considering into the payment file if a vendor is having multiple bank accounts in the vendor master and invoices are posted with different partner bank type. We are not facing any issue for mutiple invoices paid for same vendor with same vendor bank account.  The below example will give clear picture.
1) Vendor-1075847 having two different bank accounts in vendor master with partner bank type-0001 & 0002
2) Total three invoices are due for payment out of these, two invoices are posted with bank type-0002 and remaining invoice is with bank type-0001
3) When I run F110 for all three invoices, invoices gets cleared but in payment file to be sent to bank showing only one invoice amount which was posted with bank type-0001.
4) I believe that I need to do some changes in DMEE tree configuration to get all invoices information in the payment file but no idea that in which segment & tag to be done.
It woudl be great if any one shares their ideas/experiences in this regard.
Thanks in advance

Hello Friends,
We have come to the conculsion that whenever line items are splitting in F110 as shown in the attached screen shot, system not picking up the entire amount into the payment file which was cleared in the payment run. This issue is encountering only when payments are dividing into line items for that particular vendor.
For above example: first line item having two invoices to be cleared consiting of amounts 258,00 & 129,00(partner bank type-0001) and second line item having only one invoice(amount-119,00) related to same vendor(with partner bank type-0002). Because of this split at F110 level..., payment file which is sending to bank getting only first line item invoices amount-387,00(258,00+129,00) instead of whole amount-506,00.
This issue might be resolved by combining these two line items into one line item or by making changes in the payment medium workbench format(DMEE tree). I have considered & tried all possible field in FBZP & vendor master and unluckly nothing workedout.
Please share you inputs. It deliberately need at this point of time.
Thanks in advance

Similar Messages

  • F110 DME payment file: add a number of lead days to posting and value date

    Hello,
    For an Italian company, the DME payment file (F110) needs to be checked and approved by an accountant after it is created. This takes 3 to 4 days after which the file is sent to the bank. The bank will reject the file if the value date  is three days late (date which the bank uses to process the file on). For fiscal reasons the accounting clerks need the have the same posting date as the value date
    I managed to set the value date in the DME files a couple of days later. The setting I used (FBZP -> bank determination -> value date) adds the number of lead days to the value date on the basis of the posting date as defined by the user in F110. For some reason I cannot set it to 0 days, it always adds up 1 day. Is that a normal effect or have I changed the settings in the wrong way?
    I found another setting in customising ("define value date rules") which seems to have the same functionality. In the help function it is said that the setting does not influence the payment program and that the program manages the value date. Is there another setting? Can this problem be solved without the help of a programmer?
    Thank you very much!
    René
    functional consultant
    Edited by: ConsultantSAINT-OBAIN on Apr 8, 2010 10:24 AM

    Here's a section of code that does exactly that:
    CALL FUNCTION 'DATE_CONVERT_TO_FACTORYDATE'
      EXPORTING
        CORRECT_OPTION                     = '+'
        DATE                               = G_WORKAREA3-CREATEDON
        FACTORY_CALENDAR_ID                = L_S_PLANT-FACTCAL_ID
      IMPORTING
    *   DATE                               =
       FACTORYDATE                        = L_FCDATE
      EXCEPTIONS
        CALENDAR_BUFFER_NOT_LOADABLE       = 1
        CORRECT_OPTION_INVALID             = 2
        DATE_AFTER_RANGE                   = 3
        DATE_BEFORE_RANGE                  = 4
        DATE_INVALID                       = 5
        FACTORY_CALENDAR_NOT_FOUND         = 6
        OTHERS                             = 7.
      L_FCDATE = L_FCDATE + L_S_ZLEAD-/BIC/ZLEAD.
      CALL FUNCTION 'FACTORYDATE_CONVERT_TO_DATE'
        EXPORTING
          FACTORYDATE                  = L_FCDATE
          FACTORY_CALENDAR_ID          = L_S_PLANT-FACTCAL_ID
        IMPORTING
          DATE                         = L_DATE
        EXCEPTIONS
          CALENDAR_BUFFER_NOT_LOADABLE = 1
          FACTORYDATE_AFTER_RANGE      = 2
          FACTORYDATE_BEFORE_RANGE     = 3
          FACTORYDATE_INVALID          = 4
          FACTORY_CALENDAR_ID_MISSING  = 5
          FACTORY_CALENDAR_NOT_FOUND   = 6
          OTHERS                       = 7.
    * result value of the routine
      RESULT = L_DATE.

  • Dme payment File for invoice & Credit Memo

    Dear Sapients,
    I have created a DME Tree structure for PAYM. This structure contains header & line items. Header will contain the vendor bank master data inputs  & Total payment payable by the bank per vendor for each payment run. The line items contain both invoices & credit memos details & their corresponding amounts.
    Issue is getting the total value of all the invoice credit memo's in the header Field payment.
    Currently, it sum-up the values without any sign in the payment file.
    Below are the structure screen shots. Really appreciate quick response.
    Structure
    Header Field payment
    Using Aggregation of Ref AMOUNT from line item
    Line item reference field Amount
    Structure field value of line item payment.
    Kindly help to achieve this summation field value for the header.
    regards
    PBB

    Dear Friends,
    Can anyone shed some light on this topic ?
    Many thanks
    PBB

  • DME payment file to be exported automatically

    Hello
    We currently generate a payment medium in the form of a text file in different formats according to the payment method. This file is created when the last step of the payment run is carried out, and then the relevant person goes to DME administration FDTA and exports the file to a folder in the network. This file is afterwards imported into the bank system.
    The problem we have is from the point of view of security and auditing since the file can be edited once exported and before being imported into the bank system.
    For that, we are trying to automate the export of the payment medium. I have tried using the "file name" in the output control but although the log tells me that the output was transferred successfully, this is not happenning. However if I go again to FDTA and export the file (the system tells me that this was already exported although I can not find the file in the specified folder), then this is exported correctly (to the same specified location)
    Can anyone tell me what we may be doing wrong? Also, does anyone know of a way of making the output file non-editable?
    Or any other possible solutions to this issue?
    thanks a lot

    Diego - Here I have just corrected the spelling mistake in the above posting:
    If you use DMEE (payment medium workbench) then in the variant, which you define in OBPM4 and assign it to a specific house bank and account ID, you specify the file name and path.
    e.g./usr/sap/interfaces/R3Q/out/common/CGS_OUT_TAXACH
    Here '/usr/sap/interfaces/R3Q/out/common' is the path to the SAP server and CGS_OUT_TAXCH is the file name. The path is case sensitive and typically you use lowe case letters.
    When you run print program, the files get created and stored in the SAP server as per the above path. SAP also adds a 4 digit number to the file name and the file will be CGS_OUT_TAXACH0163. The four digit number is incremented every time a new file is created, something similar to our FI document number,  to prevent the old file being overwritten by a new file.
    After the file is created you can access the file using T-code AL11. In this screen " SAP Directories", you can then drill down to the final destination where the file is stored. So first you will see '/usr/sap/interfaces' (which will be at the bottom of this AL11 scree). Double click on this. Then you will see R3Q (which is the SAP system in this case Quality. In Production it will probably R3P). Like this keep double clicking on each sub directory 'R3Q', then 'Out' and then 'Common' and you will find the file which was created by your print program.
    In order to prevent people from changing/editing this file, nobody (except the administrator) gets access to this directory. There will be a batch job (which is event driven and it will be kicked off as soon as this file is saved in this directory) which will pick up this file, encrypt it using PGP encryption program and send this file to the bank using FTP program. So nobody ever handles the file manully.
    When the bank receives the file they can decrypt the file (based on the keys or passwords given by you) and then they can read the file and process.
    We can also ask the bank to send a confirmation. This confirmation will contain total no. of wires in the file and the amount. Once we get the confirmation we can cross check the total with the number of wires sent by us and the total amount. All this - the process of encryption, FTP to bank, receiving confirmation and checking the confirmation sent by bank within SAP - requires custom program. SAP also has a standard product called Bank Communication  which is a
    add-on product with a separate licence fee etc.
    Hope the process is clear. By this process you can ensure that no user ever handles the fie manually.

  • DME payment file Citibank Paylink

    Does any one have experience with payment file generated in tx F110 in format that Citibank uses, called Paylink?
    Before I start to program myself in ABAP maybe there are ways to save time and money to get the payment orders (open items with vendors) extracted from SAP.
    Thanks for your attention!

    Thank you.
    The sum and the number of credit lines (payment to the Vendor) was available. I wasn't sure how to get the debit line info, as it is our information, as to how much payment has been made from our bank account.
    To ease the process, we will just hardcode the number of debit line items as "1" and then aggregate the Amount fields for both total Debit and Credit sum.
    Thank you for your information. It was helpful.

  • Issue with Payment File Creation: F110

    Hi, Everyone.
    Can anyone help me regarding this issue: Payment with identification MR319 with the run date 15.11.2011 does not contain bank account and BIC in the header of the payment file?
    Please advise.
    Thank you in advance for the help.

    Hi, Everyone.
    Another update regarding this issue, in the transaction code F110, we added another program: ZSTR001S at the Printout/data medium.  But whenever we run the payment, there's no payment file being created.  How can I resolve this issue?
    Actually, the solution in order to have bank headers in the file is to add the program ZSTR001S.  Whenever we use the payment method: V, E and S, this program should be visible at the last tab.  But upon adding this at the Printout/data medium (I did this by changing the payment medium of V and S from TRAX_DOMEST to ZSTR001S).  So it became visible at the last tab, but it didn't create any payment file.  What do you think is the reason behind this?
    Thank you.

  • New Payment file in DMEE, which is based on SWIFT u2013 MT100 format

    Hi All,
    I have to create a New Payment file in DMEE, which is based on SWIFT u2013 MT100 format for ING Bank.
    the customer has given file format specification for ING bank, also they have given the format they want in notepad.
    i am FI consultant, have no much idea on work bench.
    could you share guidelines / documents / suggestion in creating the New payment file.
    Thanks,
    Vidya

    have a look at note 1062489 , if not search in help.sap.com , u will get gud documentation on DMEE.
    regards
    Prabhu

  • Outgoing payment file generation formatting issue

    Hi Everyone,
    I have implemente a custom outgoing formatting method to generate an .txt payment file for external system. The file in generated in AL11 directory but has hashes(#) after every character. Are there any config setting that im missing? Appreciate your suggestions and advices.
    thanks,
    shalini.

    Hi,
    A possible reason of the error : Payment reference number should not be empty for AP invoice 1
    may be that you have not input Supplier Ref. No for some documents(such as AP invoices)
    Supplier Ref. No is not a mandatory field for AP invoice,but it is a mandatory filed when you run the payment engine for those AP invoices.
    Please check all the AP invoices used in this payment one by one and make sure to input the Supplier Ref. No for every AP invoice.
    Check in the TEST enviorment and see if it helps.
    Regards,
    Jitin
    SAP Business One Forum Team

  • After F110 run in the payment file the account holder details are missed

    Hai
    After running the F110 pament run, In the payment file the ACCOUNT HOLDER name is missing . The ACCOUNT HOLDER details must picked up from VENDOR MASTER. This  is happening when ACCOUNT HOLDER and VENDOR  are different. When ACCOUNT HOLDER and VENDOR  are same it is displaying Correctly.The Bottom line is when VENDOR=ACCOUNT HOLDER, in the payment file it is displaying the VENDOR name correctly. But When VENDOR is not= ACCOUNT HOLDER, in the Payment file ACCOUNT HOLDER name is blanked out. The bank requires the name in that field in the payment file.
    Kindly Assist me
    Thanks in advance
    Regards,
    Akash Narayana

    Hello Friends - Can you please give me a little idea on what could be the reason for the below issue.
    We are using the program RFFOJP_T and when payment file is generated, some of the payment details are missing.
    I have executed payment run for 5 payments and only one 1 has come to the file and below 4 are missing.
    The following payment documents/payment orders were not updated
    (Result of the payment document update)
        CoCd Payment document/Payment order
        9770 1400001524
        9770 1400001525
        9770 1400001526
        9770 1400001527
    The accompanying payment media have not been generated
    >
    > Overview of the files generated (DME)
    > Name / File name
    Thanks

  • Downloading Payment File

    Hi All,
       I created a format in DMEE transaction and in FBZP- Payment Method/Country i selected Use Payment Medium Workbench and i specified the format which was created in DMEE. In the screen Format Supplement was given.
    Whether it is mandatory to give Format Supplement..? If mandatory what needs to be given.
    I know Autopayment is created using F110 , but how to download this payment as File in the format created in DMEE.
    Can anyone provide help for the above issues.
    Regards,
    Prakash

    Hi
    As per my previous experiance.. you need to create the payment file directly with transaction F110 and not with transaction FDTA.
    What you need to do is to change in your program variant the "output medium" field in the program RFFOF__V (look at the bottom of the parameters screen). Change this field to value 2 (read the help of this field).
    With this the file will be directly saved to the path you indicate in the field "File Name (for DME)" and you won't need to download it with transaction FDTAI hope this can solve your issue.
    Regards
    Pugazhenthi.P

  • DME Payment Formats

    Hi, I am working on a DME issue. Here the Funct Consultant has created a new payment format in which it ll pick the IBAN number in place of Bank A/C number of vendor for Automatic Payment transaction (F110) of Open Orders. The requirement is while doing  the payments if the IBAN is blank then it should pick the bank ac number for that vendor.i might need to add a Function Module for this one but I ve debugged the program but not getting from where its getting the value for IBAN. Could you please give me some suggestion in order to solve this.
    Thanks.

    Hello Sam
    When configuring the payment methods for the country (transaction OBVCU), choose the payment medium program as RFFOM100. 
    From se38, pls read the documentation for the program, which will give you the various options & the required config too. 
    You would also need to configure the instructions keys as required. 
    To generate the DME file, you have to run the automatic payment program with this payment method. 
    After the payments have been successfully posted, you can go to DME administration and with the help of dme manager download files on your PC. 
    SAP has determined that the standard print programs for automatic payments will no longer be supported, and will be replaced by transfer structures created by a tool called the DME Engine. 
    This tool enables the business to create DME output files without ABAP development, and can be attached to a print program and form for the creation of Payment Advices. 
    Outside of the DME Engine (DMEE), the majority of the configuration takes place within the following IMG menu path: 
    IMG Path: Financial Accounting -> Accounts Receivable and Accounts Payable -> Business Transactions -> Outgoing Payments -> Automatic Outgoing Payments -> Payment Media -> Make Settings for Payment Media Formats from Payment Medium Workbench 
    Config 
    Assign Selection Variants 
    IMG -> Financial Accounting -> Accounts Receivable and Accounts Payable -> Business Transactions -> Outgoing Payments -> Automatic Outgoing Payments -> Payment Media -> Make Settings for Payment Medium Formats from Payment Medium Workbench -> Create / Assign Selection Variants or transaction 
    OBPM4..select your format that you are using 
    Check in FBZP config that all is linked! 
    Although this is bitty but you need to work through it! 
    Start with FBZP, create all there than go to DMEE either to create your own format or use the standard ones.. than go to the menu path above and work through from create to assign...

  • Perform unicode to UTF-8 conversion on F110 bacs payment file in ABAP

    Hi,
    I am facing a conversion issue for the UK BACS payment files.
    The payment run tcode F110 creates a payment file but the file when created on the application server has soem sort of code conversion. If I removed the # value, i can read most of the data.
    The data example is as below-
    #V#O#L#1#0#0#1#5#8#8# # # # # # # # # # # # # # # # # # # # # # # # # # # # # # # #2#4#3#3#0#9#
    #H#D#R#1#A#2#4#3#3#0#9#S# # #1#2#4#3#3#0#9#0#0#0#0#0#2#0#0#0#1#0#0#0#1# # # # # # # #1#0#1#1#2#
    #H#D#R#2#F#0#2#0#0#0#0#0#1#0#0# # # # # # # # # # # # # # # # # # # # # # # # # # # # # # # # #
    #U#H#L#1# #1#0#1#1#3#9#9#9#9#9#9# # # # #0#0#0#0#0#0#0#0#1# #D#A#I#L#Y# # #0#0#0# # # # # # # #
    This is then transferred to the bank via the FTP UNIX Script but after the conversion which is happening as-
    #Perform unicode to UTF-8 conversion on bacs file
    $a = "iconv -f UNICODE -t UTF-8 $tmpUNI > $tmpASC";
    The need going forward is to bring the details via the interface and then make an uplaod.
    The ABAP code should be able to make the conversion, remove the additional chracters and then send the file across.
    I have searched everywhere but I am not able to find out how to make the same conversion in ABAP.
    We are on ECC6.
    Can someone please help me?
    Regards,
    Archana

    Hi Archana,
    can  you please check SAP notes 1064779 and 1365764 (including the attachment) and see if this helps you ?
    Best regards,
    Nils Buerckel
    SAP AG

  • Payment Files - Irish Stdrd 18 for HSBC - 'Hub' account

    Hello,
    I'm working on config to enable us to send payment files to HSBC Net in the Irish standard 18 format.
    HSBC have a requirement to transmit to them only a 6 digit account number; referred to as their HUB account number.
    I have created a house bank & am able to generate the files ok, but this 6 digit account number is giving me problems. 
    Although I only enter a 6 digit account number on the house bank, the output file adds in two additional leading or trailing '0'. 
    I thinking that I will probably have to make a change to the program that creates the file, but was wondering if it is possible to acheive by the way the account number is formatted alone.
    Has anyone come across this 'HUB' account number for HSBC Net themselves & if so can you offer any advise as to how you got the file to output in their required format?
    Thanks
    Steve

    Louise,
    For HSBC Net we are using two payment formats.  MT103 & Irish Standard 18.
    For both types I had to use T-CODE DMEE to create the two formats.
    These are then linked to payment methods & are then used when generating a payment through F110.  There are a number of things to setup to make these work & it took me a lot of playing around, testing & then fixing & trying again to get it right.  there's not a lot of help out there for DMEE, I found looking at some existing formats helped, so you can see how they were built.
    Steve

  • DMEE Output File missing records

    I'm trying to create a flat file to send payment information to the Bank. I create a format tree that correspond to the Bank Layout using DMEE1 tcode. The request is create a flat file in which only detail records are stored (no headers are needed). After I configure all the payment stuff and run the payment program, the output file only contains one record. My testing scenario include two invoices pointing to a different vendors which are ready to be paid, the file should have two records.
    In addition, the idea is to create an Output file based on the CoCde field (separate files). Could you please help on this issue.

    HI Cristobal:
    Verifying the file I noticed that It has one record including to payment documents. Instead of that I need to records one per payment document. I tried with both options that you mentioned, but both of them creates one record with the two payments documents.
    Could you please let me know what I'm doing wrong?
    Regards...

  • Payment File Download

    Hi,
    I am trying to download the payment file generated to my presentation server. This file is generated for Greece company code and has the vendor name in greek language. When downloading it gives me an error that "Individual characters could not be converted from Code page 4102 to Code P.1100.
    I have maintained DCP 1704 (for Greek) and also 4102 in my user parameters. This allows me to download the file but does not display the vendor name correctly. It changes the name to some different characters.
    In case you are aware of a possible solution, please revert back.
    Thanks & Regards
    Anita

    Hello Joby ,
    you need to 2 steps :
    1.Create a Variant for you DMEE Format in Tcode FBPM/ Program SAPFPAYM...here u have option to assign file system name for output.
    2.Assign your variant to DMEE Format in Tcode OBPM4.
    regards
    Prabhu

Maybe you are looking for