Journal payment to Vendor (Account payable)

Hi,
I'd like to know the transaction to view the reports "Journal payment to Vendor Account" and "Journal receipt to Vendor Account".
Thanks a lot!

All vendor line items (open and cleared) can be viewed using transaction FBL1N.  Check the selection criteria available on the screen - for more selection criteria, click on the dynamic selections (Shift+F4) button to see more.

Similar Messages

  • Posting Outgoing Payment to Vendor Account F-53

    Hi Guru's,
    I am trying to find a way to process a payment to a Vendor account, who has no open items,  without using the option of Special GL Indicators.
    The scenario is that Vendors are sometimes required to pay a "deposit" or "payment on account"  before any orders are processed.
    Any advice around this would be very helpful
    Cheers
    Alan

    HI Alan,
    Please follow the procedure to post a payment transaction to vendor having no open items thru F-53.
    1. Fill in all thedetails as Dates, Bank account, amount etc. Do not enter a vendor code.
    2. Click on Go To --> Document Overview
    3. Enter posting key 25 & vendor code
    4. Hit enter to fill in amount.
    You can later simulate the transaction ot can directly post it. During processing DO NOT click on Process Open Item
    Regards,
    Ajay

  • Transfer Open Items to Intercompany Customer and Vendor (Account payable)

    Hi,
    I'd like to know the transaction to Transfer Open Items to Intercompany Customer and Vendor.
    Thanks a lot!

    you need to have the intercompany settings in place and if they are there then you can youse all SAP transactions for your entry, Use F-02 or FB50 with the cross company compnay code as input for the 2nd line item.
    reard points if useful.
    sarma

  • Manual journal entries created in Ap did not see in Accounts Payable Trial

    Hi Experts,
    Report Accounts Payables Trial Balance, with parameter Include SLA/Manuals/Other Sources Flag set to Yes, does not show manual journal entries.
    These Manual journals entries are created in AP
    Navigation: Payables -->Accounting --> Subledger accounting --> Journal Entries.
    Ofter creating the journal entries i ran Accounts Payable Trial Balance, when i go through the output i did not see the Manual journal entries which are created in AP.
    Please help me it is very urgent.
    Regards,
    Raju.

    Pl check your 'Report Defintion' once to ensure that liability accounts that you are using in manual entries are included in report definition.
    Regards,
    Tarun

  • Accounts Payable Aging

    Dear All,
             I am in need to develop customized report on Vendor Accounts payable - Aging for given slab.
    I can find the open items for the given key date in the table BSIK.
             if we want to calculate due on past date( for cleared item), how can we use BSIK. ?        
            Let consider the following scenario.
                  Consider an item is cleared on 10.02.2009.   if the key date is 18.05.2009, there is no due for this item. But if the keydate is 15.12.2008, the item is on due. (consider 15.12.2008 is calculated with baseline date, credit days).
             How can we calculate aging for this from BSIK. because BSIK contains only open items.
    If we use BSAK ( Cleared Items ). How to calculate aging using baseline date, clearing date, credit days.
    Regards,
    S.Sridhar

    To calculate aging,
    You com use the FM J_1B_FI_NETDUE. If i undestand your problem, that FM will help you to calculate aging.
    Regards

  • Employee Vendor Account posting

    hi all.
    i have to configure the Vendor Accounts posting.
    there are few wage types, that need to be posted to employee vendors in FI.
    If the following wage types are to be posted, please explain me the following one.
    wage type : 1122 personal expenses
    wage type :1123 Business expenses
    symbolic account :1122
    symbolic account : 1123
    i have used the same for both wage types and symbolic accounts.
    employee vendor numbers : 50001, 50002, 50003, 50004.
    please let me know whether, under the node of Posting in IMG, should i take all these vendors and link the symbolic account or any other porcedure.like shown below.
    1122-50001
    1122-50002
    1122-50003
    1122-50004
    1123-50001
    1123-50002
    1123-50003
    1123-50004
    is this how i should link all the vendor to the concerned Symbolic accounts.
    please give me a solution. .
    waiting for your reply
    prathap

    hi all .
    i am really thankful to all of you.
    i have Basic, HRA, Transportation, Food allowance.
    for the month April, i have made the test data and confirmed that the G/L accounts are readily available in FI.there is no problem in posting.
    but when i tried to post the salary advance payment to vendor account, it is throwing error.
    i have configured, as follows
    created Symbolic account with the specification K
    assigned the symbolic account to the wage type
    assigned *0002 to the symbolic account.
    when i tried to post to accounts, it is throwing the error. i am sure that the error is only because of this.
    i have cross checked whether the vendor account is created in FI , which is available.
    please tell me apart from this configuration, any thing is missing.
    please help me.
    prathap

  • Using of cash journal for advance payment to vendor or from customer.

    using of cash journal for advance payment to vendor or from customer.please give advice?

    Hi,
    Set up a new transaction for "Advance Payment to Vendor" in Cash Journal IMG. The menu path in IMG is Financial Acct --> Bank Accounting --> Business transction --> Cash Journal --> Create, Change, Delete Business Transactions. Transaction Code for this configuraiton activity is FBCJC2.
    Enter Company Code, Business Transaction Type as "K" and Cash Journal Business Transaction as "Advance Payment to Vendor". This will work if you are paying to Vendor from Petty Cash.
    Check Receipt from Customer is supported if you take it in Cash Journal and then later deposit to Bank. But check payment to Vendor should be handled trhough either automatic payment program or outgoing payment transaction.
    Hope this helps,
    Reagrds
    CSM Reddy

  • How to configurel advance payment to vendor in  cash journal

    Hi,
    This is thiyagarajan,
    My client wants  to pay the advance to vendors through cash journal
    How to configure this one . its urgent please help me out..
    if u have any document pls send to my mail id   [email protected]
    Regards
    Thiyagarajan......
    91-9916082477

    Hi,
    Set up a new transaction for "Advance Payment to Vendor" in Cash Journal IMG.  The menu path in IMG is Financial Acct --> Bank Accounting --> Business transction --> Cash Journal --> Create, Change, Delete Business Transactions.  Transaction Code for this configuraiton activity is FBCJC2.
    Enter Company Code,  Business Transaction Type as "K" and Cash Journal Business Transaction as "Advance Payment to Vendor".  This will work if you are paying to Vendor from Petty Cash. 
    Check Receipt from Customer is supported if you take it in Cash Journal and then later deposit to Bank.  But check payment to Vendor should be handled trhough either automatic payment program or outgoing payment transaction.
    Pls reward points if you find this helpful.
    Regards,
    Chirag

  • Where can do you link the Account payable (AP) to Automatic Payment Program

    Hi SAP Experts,
    Where can do you link the Account payable (AP) to Automatic Payment Program (APP) what is t - code and what is the table name and Accounts Receivable (AR) to Automatic payment program (APP) what is t - code and what is the table name
    Thanks in Advance.
    Regards.
    Srinivas

    Hi Srinivas,
    The link is created when you enter vendor number in parameters tab of F110 and do the run. Here in Parameters you enter the vendor code for which you need to run APP. Based on vendors provided here in F110 Parameter tab, the F110 program checks for the open items of that vendor which are to be paid and selects them accordingly. Hope this clarifies.
    Ofcourse in Vendor master under Payment transactions Accounting you have to full the necessary fields like Payment methods etc under Automatic Payment Transactions.
    Hope this clarifies
    Kind Regards
    Soumya

  • Creating a Vendor and Accounts Payable  Invoice

    Hello Everyone,
    At the moment we are using transaction FK01 or XK01 to create a Vendor on the SAP system. We want the process of "Creating a Vendor" and "Creating Accounts Payable Invoice" to be available on Portal which allows us to automate some part of our business process.
    Could anyone suggest me a proper approach for this requirements. I would appreciate your help. It is a bit urg*nt.
    Regards,
    PG.

    I would check in SE37 to see if there is any other BAPIs. Alternatively you could debug the transaction in R/3 to see which function modules it uses. It's possible that there is no BAPI, but there is a non RFC function module for creating a vendor. In that case, you can create a "wrapper" for it, ie your own function module that is rfc enabled and that simpley forwards the call internally to the function module that creates the vendor.
    I would also search the ABAP forums to find out if there are any function modules that provide this operation. If you don't find any threads you can try posting a question. It's best to post questions concerning BAPIs and function modules in the ABAP forums (or related forums).
    Failing all this or if none of the above fits your requirements, you could create your own BAPI to perform this operation. But 9/10 there is a standard function module to perform most operations. Don't worry if it's not rfc enabled like a BAPI, just create a wrapper around it.
    Cheers,
    Dion

  • Possibility of AP and contracts accounts payable payments running parallel

    Hi Gurus,
      My client already has a SAP system and they are planning to implement FICA for contract accounting. Is it possible to have contracts accounts payable and accounts payable systems running in parallel for the payments. Please let me know the solution soon.
    Thanks
    Santosh

    1. Take List of all applied Invoices of the Payment
    2. Check the status of those invoices. Each one of them should be in status 'Accounted'
    3. If not,Identify the problem with the Invoice and Clear that. The problem may be Invoice adjustment(adj to Paid invoices allowed).
    4. Try running Create Accounting again.
    5. If the problem persists still, it conveys us that the Transactions were struck in loop and can be resolved only by using UPDATE command.
    6. Contact Oracle for Data fix
    Regards,
    Sridhar

  • Payment terms applicability for Debits in Vendor account

    Hi all,
    Whenever we credit a vendor account with defined payment terms, the net due date for that transaction will be calculated as per payment terms. I just wanted to check if the same logic applies even when we debit vendor account with defined payment terms.
    When I tested this in our systems i.e by debiting vendor account with defined payment terms, found that baseline date was only getting picked as net due date & not the actual date as per payment terms. I wanted to confirm if this is a SAP standard feature or a customised feature.
    Regards,
    Santosh

    Hi,
        I do not have documentation other than the F1 Help for the Field Inv.Ref
    This explains it though.
    Number of the Invoice the Transaction Belongs to
    For line items which are related to another line item, this field contains the number of the partner document.
    Use
    In the standard system the field is used for:
    Credit memos which refer to a particular invoice item
    Subsequent invoices for an invoice item
    Partial payments for an invoice item
    Partial clearings of down payments.
    In the first two cases mentioned, the terms of payment are copied from the cross-referenced invoice item into the item currently being processed. This ensures that items due on the same date are paid together by automatic payment.
    A special rule applies to credit memos which have a "V" in this field. The due date is determined in the same way as for an invoice. If the field is empty (containing neither a document number nor a "V") the due date is the baseline date for payment.
    Kind regards

  • Partial payment tab problem when clearing two open items in vendor account

    Dear All,
    I have the problem with partial payment procedure.
    As SAP is presenting the process, partial payment should work as follows (i.e. with vendor):
    1. Incoming invoice is posted -> Credit -100
    2. Credit note is posted  -> Debit +20
    3. Payment (without clearing) is posted to vendor account -> Debit +50
    I'll run transaction F-44 and go to tab "Partial payment".
    I see 3 items (as above).
    I mark Item -100 and +20
    I double click in filed next to -100 and it changes to -20
    An now it should make no posting but only assignemet of one item to another.
    But in my case, if I click "save" icon, it makes postings Debit 20 and Credit -20 on vendor account.
    Is there any possibility that such clearing will not generate any posting but just make assignement of one item to another. Or maybe there is something wrongly configured in the system. At the moment the partial payment makes some kind of residual items.
    Thanks in advance for replay.
    Best regards
    Greg

    Hello,
    Yes, it's right, whenever we clear vendor or custmoer account, the system creates document, but as I remeber from other instalations, the document had header but there was no postings.
    It case described, the system creates posting:
    40       Vendor      20 EUR
    50       Vendor      20 EUR
    This is strange for me. As ther should be clearing document but with no postings.
    Have you got any idea how to configure the system, so partial payment tab in clearing transactions creates clearing document but with no phisical postings.
    Best regards
    Greg

  • Payments to Vendors with multiple bank accounts

    Please, can someone advise about vendor payments? We have vendors extended into several company codes and each CC should pay to a different bank account. Is there any automated way how to pick up the correct bank account in F110 or already in MIRO/FB60? OSS note 9829 mentions a BTE, but without any details. Thank you. Kind regards. Marcela

    Hi Rajendra,
    sorry, I probably didn't specify my question enough. I didn't mean multiple House banks (bank through which we process our payments), but multiple bank accounts for one vendor account we can pay to.
    The only way how we can manually pick up the right bank account to pay to, is during the invoice posting by selection of partner bank type (field BVTYP). BVTYP needs to be assigned in vendor master to each bank account. Then there is a possibility to choose.
    Vendor XX should receive payments from customer in Germany (company code 01) to a different bank account than from customer in China (compnay code 02). If no partner bank type is selected during vendor invoice entry, there is a risk to pay to a wrong account as the first bank account from vendor master is choosen automatically.
    Thank you very much.
    Kind regards
    Marcela

  • F-29 Customer down payment, error, system ask for vendor account

    Hello,
    When I enter customer down payment through F-29 I receive message F5243 'Account type K is not defined for document type DZ'.
    If I use other document type, I receive the same message. I DO NOT NEED ACCOUNT TYPE 'VENDOR' HERE. (When I choose with F4 I receive search for CUSTOMER, and special GL also for CUSTOMER.)
    If I change that (and allow acct type 'K'), system issue message F5104 'Vendor not created in CoCode'.
    If, for example I have the same number for vendor and customer (SAME NUMBER, NOT THE SAME COMPANY), system allows me to go further, but takes information for 'Vendor down payment' (made in Customizing).
    I would like to point that there is no link in master date between customer and vendor account.
    My only clue is that something is wrong with this transaction (there is no SAP note for this exact problem, and all other posts on the same subject here on SDN are not resolved)
    Maybe someone has idea about connection of this tcode with logistic...
    PLEASE HELP

    Hi Amina,
    For that u check weather u assign vendor special gl account to customer reconcile account in OBXR.
    Select special gl type  D in OBXR and give the reconcilation account of customer and special gl account
    Regards
    Surya

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