Issue with electronic bank statement upload

Hi All,
          Presently I face an inssue in posting electronic bank statement upload (Tcode - ff_5).
The scenario goes like this.
         First we do payment to vendor using 'f110' transaction.Here the document currency is different from local currency.Let us say we paid 100 EBP i.e, approximately 177 USD.
After the payment we get statement from Bank (in this case BAI format).In the bank statement due to exchange rate difference the amount will not be exactly 177 USD but slightly different like 185 USD or may be 170 USD.
       At this point we have to upload this statement using transaction 'FF_5' to system.Here obviously the differential amount goes to the system ( 185 USD or 170 USD).
Now the issue is we have to post this difference amount like USD 8 or USD 7 to a specific GL account ( 11800 or any other GL acc number ).
The 'FF_5' transaction updates the tables 'FEBKO,FEBEP' by using the programs 'RFEBBU00',
'RFEBBU10'.There is an exit also like 'FEB00001'. We can put this difference amount in one of the fields of FEBEP table by using this exit.
   But the point I don't know is how to post this difeerence amount 8 or 7 USD to a specific G/l account ? I could not locate in the above program 'RFEBBU00' where the posting happens ?
Thanks for any help.
Vinod.

Hi Sharaad & Naga,
                     Thanks for the replies.One more doubt, Will I have to use these function modules inside the exit or do I need to change the sap standard program to incorporate these FM calls ?
Thanks
Vinod.

Similar Messages

  • GL account issue with Electronic Bank Statement

    Hi Gurus,
    I need your help and advice with the following issue. We are using ECC 6.0 and have implemented electronic bank statement. It is working fine but we havea new requirements.
    Presently all the incoming ACH (ACH in) are being posted to one GL account set- up for such payments +++++++++1. Going forward, we want to post customer incoming ACH payments to seperate GL account and all the other incoming ACH's should keep on posted to the old account +++++++++1. I do not have exposure to configuring EBS and not sure how should I configure this.
    I would really apreciate if you can guide me with step by step details to do this set-up.
    Thanks,
    Best Regards,
    Shalu

    Usually ACH in or outgoing, the corresponding bank will send you a code.
    so once you get into the config item for EBS
    1. you create account symbols( ACHPAY and ACHPAY2) and assign accounts (++++1 and a debit account ++++2) respectively
    2. Create posting keys, usually this is mimicked with a Z attached to the bank code for ACH payments (EX: 675 is the BAI code for ACH, create a posting key with Z675)
    3. create rules for the same posting keys like debit and credit account symbols, doc types, what kind of postings it should post( clearing entry or posting to GL)
    4. Create a transaction type and in the following step create external transaction types (usually bank BAI codes) and map them to posting rules and the processing types
    5. finally map bank accounts to transaction types

  • Issue with Electroni bank statement

    Hi Gurus
    while uplaoding the EBS file i got the error message tht do not have authrorization for FB01, i was not tried to post any thing with FB01 but i understood that i this program might caled the FB01 transactin in back ground
    when i see the statemtnt in FF67 it got posted for few documents and for few it was showing that to be posted
    what is the problme i cont understand, once it says that i dont have authorization it shuld not post all the transacton,
    any one can explain the reason ond the soltuion what to do with this
    regards
    Sunitha

    Yes you are right. Please give to your user authrorization for FB01and I think that EBS will be posted.
    Cheers

  • Electronic bank statement upload - SWIFT MT940 format...

    Hi All,
    i am first doing the electronic bank statement upload to SAP.
    i already done the related config for this.  i did check with my Client bank about the statement format and they able to provide the statement in SWIFT MT940 only not in multi cash format.
    Is any body done this before i mean upload the MT940 format to SAP. If so please share your experience with me.
    i need:
    1) The format of SWIFT MT940 file.
    2) Is any SAP notes related to this format?
    one important thing is -> 1) is this SWIFT MT940 format got two files(statement file  and line item file )  like mult icash format  or only one file.
      2) if this format got only one file  in which field we have to use  to upload this file in TCODE. FF_5. -> Line item field or statement filed.
    Thank you very much.
    Sandhya

    Hi ,
    Check SAPnote 13283. This has information on
    Multicash
    SWIFT MT940
    DTAUS
    BAZ
    MAOBE
    SAP.TXT and SAPKURZ.TXT
    Also you can see the link  http://www.swedbank.lv/lib/en/SWIFT_MT_940_formata_apraksts_ENG.doc
    for the detailed description of SWIFT MT940 File.
    Hope it helps
    SJ

  • Electronic bank statement upload

    Hi SAP GURUS,
    I have some doubts in ELECTRONIC bank statement.
    After uploading the statement in FF_5.
    How the open items will get cleared? and on based on which parameters it will get clear?
    Where do we maintain these parameters like based on the my Assignemnt field and reference fields , header text. like
    the parameters where do we maintain for clearing the open items.
    Regards
    Sai

    Hi
    Just check this settings
    Fin Accing>Bank Accing>Business transaction>Payment transaction>ELE Bank Stat>Making Global Settings for ele bank Stat.
    Assign Bank Accounts to transaction types.
    Hope this will be help full
    Regards
    Arun Mulgund

  • Electronic bank statement upload to SAP....?

    HI experts,
    plz can any body pass some inputs on electronic bank statement.
    we have received the electronic statement from bank recently and want to upload it to SAP.
    we try to use the TCODE: FF_5 to import the statement.
    but in that tcode need to specify the statement file and line item files.
    actually whatu2019s that files mean ..Where we have to generate those two files from the existed electronic bank statement wt we received fromt the bank.
    and those file should be in which format...?
    plz advise i have not worked on the electronic bank statement before....
    i have done all the related configuration settings in the system... i have assigned the external transaction type MC ( multi cash format) to My bank Key in the config.
    if u have any documentation and file formats please send i to me to sandhya.rani at issconsulting.net
    thank you very much...
    Sandhya Reddy.

    Hi Sandhya,
    For this you need to do a lot off customizing and testing, perhaps to imlement an user exit.
    When you have activated EA-FIN you have more options.
    The setup is different by country, bank, record format,.
    Have a look in customing and click on help. There are some examples available.
    SPRO: Financial Accounting /Bank Accounting/ Business Transactions /Payment Transactions /Manual Bank Statement
    The first step is to look to your bank statements from the last year and write down all possible cases and how you post it. (Like customer invoice, bank transaction code XXX in the text you will found the invoice number, bank costs, interest, slaery payments,......)
    Based on this you can set-up the rule's (customizing - User exit)

  • Automatic bank reconciliation with Electronic bank statement

    Deal All,
    As mentioned in the subject of this mail, this is to request for your inputs to advice the configuration steps with process for Configuration of Electronic Bank Statment in R3 to eneble the user for automatic bank reconciliation with clearing customer/vendor open items.Please send confi doc.
    Request you to provide documentation if possible along with your valuble advices.
    cvs

    Hi
    I implemented the EBS in my company 4 month ago and here are some advises on the problems i experienced in the setup process. As for the setup process it is straightforward just read the manual at help.sap.com.
    We used the MT940 format for importing bank statements from our bank.
    The first thing i would advice you to do is make a list of all the possible transactions that are to be handled by the EBS application.
    Then make estimation of how many payments that are recieved in constant structured way which the EBS can handle. (invoice number in the text)
    The people in our accounting department complained alot about the output format in the EBS not being userfreindly compared to the advises they recieved in e-mail form from the bank so if not the bulk of your payments can be processed automatically it might not be worth the trouble to implement it. (i still think they uses the the email to postprocess the transactions that was not automatically cleraed)
    Make sure you havent got any other applications handling some of the transactions that are contained in the bank statement because this wont work. eg. we had a program automatically placing fx trades on customer and bank account which meant that when we recieved the fx trade on the statement it was already placed and therefore had to be placed on a interims account for later reversal.
    We get alot of bankcharges on our payments and we set up the EBS to place them automatically on a bankcharge account if the difference between the recieved amount on the invoice was less that 30 dollars.(we just assume that a difference is a bank charge) This means that a customer if he wants to always can pay x dollars under the invoice amount because it will be automatically processed and therefore go unnoticed.
    Establish a contact in your bank who knows how their MT940 format has been structured. 
    Then contact your bank and get them to provide some test statements of old bank statements.
    Make sure that you are not the first customer for using the MT940 format or else you will end up being ginny pig for the banks possible mistakes.
    As i learned the way banks interpret the MT940 format guidelines can varry quite alot eg. the ocmt field our bank interpreted as the original payed amount in its original currency. SAP inprets this field as the recieved amount in its original currency and therefore it always try to clear the OCMT amount if availleble which meant it always tried to clear the original amount even though there had been taken som bankcharges underways.
    I also found out that our bank didnt really bother to specify the type of transaction (interest, fx contract, bank charges, check and so on) which meant we only had two external transaction codes availleble s103 for incomming payments and ntrf for outgoing payments. This gave alot of trouble as i had to identify the type of transaction through seach algorithms.
    Our bank also had trouble creating the MT940 file because it has a limited number of characters availleble which meant in the initial file that it only gave the first x characters of each line and then left out the rest. This meant that the text was broken into alot of pieces and you hardly ever had a complete invoice number to clear on. We had the bank altering their format so they now leave out text at the end of the transaction instead.
    In the implementation process we experienced that the EBS application created a payment advice each time the amount of the payment didnt match the invoice in the system. We implemented a note from service.sap which disabled this and just assigned the difference to a bankcharge account.
    I dont know if you can use these advices but just felt i would try to warn you about the potential problems that i experienced in the process. .
    If you have concrete questions to the EBS setup feel free to contact me and i will see if i can help you.

  • Thomson Treasura - replace with Electronic Bank Statement

    Hi All,
    We are planning to implement EBS in our co and replace an external Software called Thomson treasura. I would like to know what sort of reports are availble through the EBS in SAP. Thomson treasura gives the ability to generate several reports, so I was just curious to know if we replace this with EBS, will we be able to get the desired reports.
    Thanks in advance
    Krishna

    Hi,
    This link would provide the complete information about the setting up of EBS
    https://www.sdn.sap.com/irj/scn/go/portal/prtroot/docs/library/uuid/a97fa590-0201-0010-04ba-beed13d6cc7e?overridelayout=true
    http://help.sap.com/bp_bblibrary/500/Documentation/J03_BankStmt_EN_US.doc#_Toc55367415
    http://srilogix.com/casesWhitepapers/Electronic%20Bank%20Statement.pdf
    SAP has provided several reports for the EBS. the EBS report can be accessed through FF.6. As the data gets stored in at table level, there is an option to create custom specific reports as per the user requirements.
    regards,
    radhika

  • Electronic Bank Statement and Bank Accounts change...Statement Upload

    Hi,
    I have an issue with electronic bank processing.
    Currently my client is using A100 company code and bank account 123456 gl code 45000 and they are updating bank statements through electronic bank statement.
    Now they have activated A200 company code and they want to use same bank account 123456 and gl code 45000 in new company code and the entire electronic bank statements need to be updated into A200 and A100 company code will exist in sap but client dont want to use this.
    What customizations need to be done in SAP and how system will come to know A200 company code need to be updated when they update electronic bank statement next time?
    Is there any specific customization in sap that shifts company codes and gl codes for electronic bank statement uploads?
    What will happen to historic data when the same gl codes are used with different company codes?
    Once the F110 is executed there will be batch job which will run to upload file...do we need to change anything here....
    Jaya.

    Hello-
    Are you saying going forward you are are not going to use A100 and start using A200? If so, from an EBS config standpoint, all you would have to do is use the same transaction type and remove the assignment of old company code & bank account + bank key to the transaction type and enter the new assignment to new company code.
    Next, make sure to create all the bank accounts and clearing accounts in the new company code (assuming all the config related to bank is completed).
    This is it. When you upload using FF.5, it will look at the bank account number from the upload file and look for the company code.
    Hope this helps.
    Shail

  • FEBA :Banking: Red Cross on bank statement upload

    Hello Gurus,
    I am facing a strange behaviour in electronic bank statement uploads.
    The file is uploaded in the system and its shown as Red cross. There are no transactions in the bank statement and the opening and closing balances are same.
    There is no activity in the bank account and still on loading the satement it shows a Red Cross for file loaded on June 20th.
    The file coming on June23rd is loaded successfully and has a green checkbox where again there were no transactions and opening and closing balances are tallied.
    I dont see any value or sign difference. I checked other threads but couldnt get solution and had to open a new discussion
    Any thoughts on how we can change the red cross to Green Tick. SAP instance is on ECC 6.0.
    Any utility to be developed?
    Regards
    Rutvij

    Hello Rutvij,
    FEBAN - give Co.code, house bank, account id, statement date and statement nubmer.
    If it is outgoing payment then go to statement items i con in top side of that screen. Then click post option.
    In the next screen click on payment order because if you want to clear invoices based on payment orders or click either reference or document number in additional selections tab. And then give your co.code and account type. If required, put additional selection like amount, reference, etc in additonal selections tab.
    Press enter and then select open items to be cleared and then save.
    Now SAP will display all open invoices against the customers. Activate the invoices that must be cleared. Simulate document. Now enter the payment amount and press enter.
    Enter once again in the next screen then press save. Now you will get a message saying that document got posted with no.xxxx in co.code
    I hope it will resolve your issue else revert us with your query.
    Thanks & Regards,
    Lakshmi S

  • Electronic Bank Statement (BAI format)

    Hi Experts,
    Directly I am trying to upload the Electronic Bank Statement (BAI format) through TCODE FF.5. For this already I have deleted the Test data by using the SE38 Program RFEBKA96 and then trying to upload. Itu2019s giving error u201C Table FEBKO is blocked: Key  140025 (Bank key)  6897562143 (Account number) while trying to upload through Tcode FF.5. Even  there  is no records in Table FEBKO , itu2019s giving this error.
    Can anyone please help out to solve this issue..Also inform me any other configuration seetings are required to do Electronic  Bank Statement Upload for BAI Format.
    Thanks & Regards,
    Kelvin

    Hi ,
    Already I have deleted the bank statement by using program RFEBKA96 and also there is no entries in table FEBKO. Even though itu2019s giving the same error u201CTABLE FEBKO is blocked u201C while i tried to upload it again.
    I have to upload only 3 statements. Is there any other way to upload the BANK Statement Reconciliation. Please help  me .
    Thanks,
    Kelvin

  • Electronic bank statement config- account determination

    Hi,
    I want to post the following entry through electronic bank statement upload.
    Bank Main GL account DR
    TO Bank collection clearing account(Sub account)
    In the posting rule I have given debit posting key& account symbol for main account posting. But credit side i did not give posting key and account symbol. I have selected the option Clear credit GL account.
    However system is not picking credit GL account automatically eventhough algaritham is matching to clear automatically.
    Some peoples in team  are advising to add House bank and account ID fields in the create/bank/interest tab of Collection clearing account GL. Some other experts are advising to maintain credit side  posting key & account symbol also in the posting rule itself.
    Please let us know what should be done to propose credit GL and clear automatically by the system .
    Regards,
    Seetha  Ramaiah
    91-8978977978

    In the posting rule, you need to maintain an account symbol for the credit side.  Since you have selected the clear credit GL account option, you need to leave the posting key blank on the credit site.
    Regards,
    Shannon

  • Electronic Bank Statement - Check register not updated with encashment date

    I need help in Electronic Bank Statement. After uploading the bank statement file, i got the document number posted, but when i looked in Check register for the checks it's still showing up as outstanding check and there is no encashment date updated with this check.
    We received file from bank in BAI format and use t.code ff_5 to upload the bank statement file. Algorithm 011 already assigned in Config. Please help me to solve this issue.

    Encashment field did not get updated....
    This happens to us in the following instance...
    Our checks numbers are as follows with zeroes in front... 0000000121558
    The BAI file from the bank has the number listed as 121558. We have a process to convert the BAI file to a .txt format and add seven zeroes in front of the number in the file before processing. We had a new user that forgot this step. Without the zeroes added to the file to match the check numbers, our encashment field did not get updated. We had to do it manually.

  • Electronic bank statement with CTX payment advice

    Hi:
    I'm trying to figure out how I can process an electronic bank statement that contains the payment advice embedded as a CTX addendum. I'm finding info how to issue an ACH and add the CTX addendi. But how can I process it when that info comes back from the bank on the electronic bank statement and I'm on the receiving end of that transaction?
    Of course I'm looking to clear the corresponding customer open items along the provided payment advice info.
    I do see an interpretation algorithm 032, which will look at a payment advice that has already been received prior to the bank statement. That's close, but not quite it.
    Maybe the answer is 'functionality not available in SAP standard' and that will be just fine. I've got the list of all the various enhancement points for the process and if that's the route I need to take, I'll be on my merry enhancing way...
    Any pointers highly welcome!
    Thanks
    Stephen

    Hello,
    From FF.5, if you are using interpretation algorithms 11, 12 or 13,
    the check encashment date ( PAYR-BANCD ) will be updated in PAYR when
    the check is neither voided nor cashed. The relevant code is as under
    RFEBBU10. Source Code :
    CASE FEBEP-INTAG.
          WHEN '000'.                 <- A when for every Int. Algorithm
          WHEN '011'.
                PERFORM SEARCH_CHECK_IN_PAYR.
    FORM SEARCH_CHECK_IN_PAYR.
      check is not voided nor cashed
        SELECT SINGLE * FROM BKPF WHERE BUKRS = FEBKO-BUKRS
                                    AND BELNR = PAYR-VBLNR
                                    AND GJAHR = PAYR-GJAHR.
        IF SY-SUBRC = 0.
          PAYR-XBANC = 'X'.
          PAYR-BANCD = FEBEP-VALUT.
      So, the field PAYR-BANC is always updated with FEBEP-VALUT
      (Value Date) and there is no standard way to avoid it.
    If the check number in the statement is wrong, then the interpretation
    algorithm could not update the encashment date. The interpretation
    algorithm run only when the electronic bank statement is loaded
    (hence only once) and not when FEBA is processed.
    In FEBA (SAPMF40A), there is no further update in PAYR, and hence you
    need to go to the Cheque Register and change the date manually in this case.
    Check Note 115147 for further information.
    Regards,
    REnan

  • Format file problem uploading electronic bank statement files FF_5 RFEBKA00

    hello
    I am facing a problem when uploading electronic bank statement files with the file format. The situation is as follows:
    1- Electronic bank statement files are sent by FTP from the bank to a certain directory in AL11
    2- we have developed a "z" program that just picks electronic bank statement files from AL11 directory and process them using standard FF_5 (RFEBKA00) program.
    3- When processing some files had an error, when debugging we have verified that errors are caused by some "special" characters non Unicode as "®" (=Hex'AE') with UTF-8, a '#' is displayed.
    SAP answers a question as follows:
    AL11 is designed to display os-files (log-files, trace-files etc.)
    from within the SAP-system for supporting purposes in order not to
    logon to the os itself.
    It was not designed to display any file-content in the system created
    with any code-page.
    AL11 opens the file in textmode with encoding option default, which
    means UTF-8 in a unicode system and NON-UNICODE in the other case.
    You cannot change this setting.
    If you have the need to specify these options, depending on your files,
    you can make a copy of report RSWATCH0 and customize the OPEN-statement
    to yor needs.
    On a Unicode system, the files need to be in Unicode format (UTF-8).
    Eg:When you interpret a non-Unicode "®" (=Hex'AE') with UTF-8, a '#' is
    displayed.
    Case 1:
    Who is creating those files? Are these files
    1) created by you
    2) are they written by a SAP application?
    ==>There are the notes 752835 and 747615 for cases like these.
    In case 2) it may be that the application responsible for the file
    download (not AL11!) should be the problem, considering note 752835.
    There is also the possibility for you to convert the file to the correct format using our tool RSCP_CONVERT_FILE (note 747615).
    System administrator has told me to copy standard RFEBKA00 program and modify the OPEN-statement but I am not agree because I think that the problem is when generating the files in bank's system and/or sending the files to SAP by FTP.
    Does any body face a problem like this before? Any ideas?
    Thanks a lot

    Hello,
    The files that are available in AL11 are in Unicode.
    Can you convert them to text by using the following method and then try:
    You must have mapped this directory and having access.
    Right click on file
    Open with: Microsoft Office Word
    Then the pop-up comes: File conversion - bacs
    Select Other encoding radio button
    Then select "Unicode" from list
    and say OK
    Now the file is being opened in readable format:
    File SAVE as PLAIN TEXT
    Save the file in the same folder that you are referring to in AL11
    Now if you try with this .txt file, it should work in FF_5
    Thanks,
    Ravi

Maybe you are looking for

  • I dont know if i should get an iPad 2 or 3??

    Hi all, I am going to get an iPad soon but I dont know if I should get an iPad 2 or an iPad 3. Its a lot to do with cost but I also dont want to get one that I will later regret and think I should have gotten the other! I am looking to use it for eve

  • Selectively editing nodes in a JTree

    I need to make certain nodes in a JTree editable, without making every node in the tree editable. How can I accomplish this?

  • Unable to scale wallpaper in iOS7

    Has anyone else run in to this issue?  When setting a new wallpaper, I'm unable to scale it appropriately... assuming it's a glitch that can be fixed?

  • Beginner Question: Get current Week Number with Token API

    Is it possible to get the current week (1-52) with the token API? I searched the gwtokens.pdf for a suitable method, but haven't found something that fit my needs. Any idea/suggestion? Thank's in advance for your help.

  • Battery perpetually "calculating..."

    I noticed today that after having my MBP plugged in (during use) for a few hours, I saw "calculating" on the battery display but it had a 'charged' icon and the adapter cable shows as green. However, the percentage shows as 95% When I use coconutBatt