OBYU HRK  / SPECIAL G/L INDICATOR VIA RPCIPE00

Dear all,
We use transaction OBYU, to post at vendors employees, using *0002 (not fixxed vendors).
We cannot use special G/L indicator at this step.
Are you aware of an exit or else, that we could you use, to make payroll postings via RPCIPE00, using different special G/L indicators, dependent  on different wage types?
Thank you in advance,
Markella

Hi Markella,
I am experiencing the same issue and would be very interested if you have found the solution.
Thanks
Aly

Similar Messages

  • Special G/L indicator and due date

    Dear all,
    In FB01 when I post on customer account with special GL indicator, in the next screen the "due date" field is mandatory.
    I would like to fill this field automatically. I tried via substitution, but it doesn't seem to work with "due date".
    Do you have any suggestions please?
    Many thanks,
    Becky

    Hello,
    Please note that the due date field is as per standard design as per the SAP note 95079.
    Field BSEG-ZFBDT is hardcoded in most FI screens to be mandatory and cannot be influenced by any field status changes. This situation only valid when posting with special G/L indicator (downpayment).
    The reason behind this is that this special GL screen and the data entered here are very important to many other programs. This data affects liabilities and receivables where due date is necessary almost everytime.
    Could you try the following :
    - Change in SE51 the requirement condition (field attribute). However, this would be deemed as a modification to the standard
       system. You may be responsible for any negative consequences once decided to make such modification.
    - You can also try Use a substitution rule (like: if special GL = A and user = ...   and account = ... and.... then BSEG-ZFBDT = today). I am surprised to know that this doesn't work for you. Are you getting any error message while subsititution is triggered?
    Thanks for your cooperation and understanding.
    Best regards,
    Suresh Jayanthi.

  • SPECIAL G.L INDICATOR & SPECIAL G.L

    Hi All
    I have no idea abt the concept of special g.l indicator & special g.l. Plz expain it.
    With Regards
    Deepak Garg
    Mob 9213784161

    Special G/L transactions are special transactions in accounts receivable and accounts payable that are displayed separately in the general ledger and the subledger. This may be necessary for reporting or for internal reasons. For example, down payments must not be balanced with receivables and payables for goods and services. Consequently, they are treated as special G/L transactions in the General Ledger (FI-GL) Accounts Payable (FI-AP) and Accounts Receivable (FI-AR) application components.
    Special G/L transactions are already available in the standard system. However, one can change the specifications or define your own special G/L transactions.
    Special G/L transactions are special transactions in accounts receivable and accounts payable that are displayed separately in the general ledger and the subledger. This is achieved by posting to alternative reconciliation accounts, instead of posting to the reconciliation accounts for receivables and payables
    The following special G/L transactions are available:
    Down payments and down payment requests
    Bills of exchange receivable, bills of exchange payable and checks/bills of exchange
    Bank bills
    Payment requests
    Guarantees
    Reserves for bad debt
    Security deposits
    These special procedures are displayed separately from other receivables and payables on the balance sheet either for legal reasons, such as with down payments, or for control reasons, such as with guarantees received. A separate special G/L account is created for each special G/L transaction. As a result, it is possible to display each transaction in the balance sheet without having to carry out any transfer postings and to receive an overview via the account limited to this procedure only
    In the SAP System, distinctions are made between different types of special G/L transaction. These distinctions are made according to business-related and technical factors.
    On the business side, a distinction is made between:
    ·        Bills of exchange
    ·        Down payments
    ·        Miscellaneous special G/L transactions, such as guarantees
    On the technical side, a distinction is made between:
    ·        Postings with a freely-definable offsetting entry. These include down payment and bill of exchange postings.
    ·        Postings with a preset offsetting entry. These transactions are called statistical postings.
    ·        Postings without an offsetting entry. These procedures are called noted items.
    To post special G/L transactions you require special posting keys, which are supplemented by a special G/L indicator.
    The posting key defines whether it is a debit or credit posting, and which account type (customer or vendor) is posted. The posting keys for special G/L transactions must be indicated as such. In the standard system, the following posting keys are used for special G/L transactions:
    Posting Keys for Special G/L Transactions
    Posting key
    Description
    Usage (example)
    09
    Outgoing debit posting
    Payment of bill receivable
    19
    Outgoing credit posting
    Down payment received
    29
    Incoming debit posting
    Down payment made
    39
    Incoming credit posting
    Payment of bill payable
    Special G/L transactions are identified by a special G/L indicator
    Pls assign points of the information is useful to you
    Regards
    Sanil Bhandari

  • How to add Special G/L Indicator in MIRO & FB60 T.Codes Headers

    Hi
    How to add a Special G/L Indicator in MIRO & FB60 T.Code screen under 'Amount split' tab for each line item in Header.
    Client Requirement is Retention amount has to post with Special G/L Indicator 'R', because of all the retention amounts has to show into seperate G/L Account for Balance Sheet purpose.
    For Eg., 1000 $ - GR Carried and at the time of MIRO 900-Vendor Dr.; 100-Vendor(R)(Spl G/L Indicator) Dr.; and 1000 GR/I R Account has to credit.
    Quick action will be appreciated.
    Regards
    Chinnu

    Hello!
    I am focused with a similar problem. For us it is necessary to have a MIRO posting with special G/L indicator in order to set a alternative reconciliation account when we have a PO with account assignment category A. Then we have to treat it as liabilities coming from investments.
    I've already tried to solve it via substitution. While debugging it seems quite OK but the result is not satisfying at all as the document doesn't show the special G/L indicator and the posting key.
    So my question is if there is another user exit or a BAdI available that enables me to implement this requirement.
    Otherwise we will be obliged to create redundant master data by doubling the vendors. But then it will be more difficult for our purchasing people to know exactly which vendor number they have to take in which case, and also the reporting isn't that efficient as people will have to remind to select all numbers.
    Thanks in advance!
    Kind Regards,
    Melanie
    Edited by: Melanie Hojsak on Sep 16, 2010 9:41 AM

  • Table for special G/L indicator and withholding tax?

    Hi experts,
    Iu2019m trying to post a vendor invoice on F-02. When I use vendor invoice  posting key the system brings withholding tax automatically but when I use special G/L indicator (incoming credit posting ) withholding tax is not coming.
    Is there any connection between posting key and withholding tax or special G/L indicator? Where should I correct this error?
    Thanks by now
    Edited by: Hande Yaman on May 31, 2011 5:01 PM

    Dear,
    You can check out relationship between posting key and  wht by checking Field status group of posting key in OB41. Now comming to the problem with your special GL indicator with no WHT posting, you need to check FSG of Special Gl indictator in OBYR and special GL in OBC4. Look if its suppressed there.
    Regards

  • Down Payment Request - Special G/L Indicator F

    Dear all,
    While posting Vendor Down Payment Request (tcode: F-47), I encountered the following error message:
    Special G/L indicator F is not defined for down payments
    Message no. F5053
    Diagnosis
    The specified special G/L indicator is not classified as "down payment" or not listed in the list of the target special G/L indicators for indicator "F".
    I have performed the following configuration for Special GL indicator F:
    Tcode: OBYR or FBKP
    Account type = K, Special G/L Indicator = F. I have set the recon account from vendor master into the list of the account, also the Planning Level = FF.
    I click on the Properties button, and following is the setup of the Properties:
    Noted Items  select this check box.
    Target Special GL Indicator: AF
    Special G/L Transaction Types: select Down Payment/Down Payment Request.
    Can you please kindly share how to solve this issue? Thank you very much in advance.
    Kind Rgds,
    Dahlia

    Hi Dahlia,
    There are 2-3 things that you have to take care while posting Down Payment request.
    1. Define F as Down Payment request ( this is std. provided by SAP)
    2. Check box Noted items.
    3. In target Spl GL, enter A..this is very important as this is the place where you are linking F to A
    4. In spl GL transaction types, select the radio button Down payment/Down Payment Request.
    5. Now in Spl GL A, take care that In spl GL transaction types, the radio button Down payment/Down Payment Request is selected.
    Regards,
    SAPFICO

  • F-30: posting with clearing a document with special G/L indicator and tax

    Hi All,
    by t.code F-02 I've posted a document with the follow items:
    PK     SG      Account Description
    40                Bank G/L Account   u20AC 1200,00
    19      A       Customer code         u20AC 1000,00-  (1000,00 amount and 200,00 tax amount)
    50                Tax G/L Account     u20AC  200,00-
    If I launch the t.code F-30 (post with clearing), choose that customer and select the special G/L indicator "A", SAP displays
    the document I've posted with an amount equal to 1.200,00- instead of 1000,00.
    This does't allow me to clear the open Item....
    Could anyone hel me?
    Thanks
    Gandalf

    Hi
    A   payment  recorded  with   special GL indicator  is automatically set  as  locked.  This is  sap  program and cant be changed.  When  the  related invoice is  recorded ,  the   down payment  can  be cleared  with it  using  F-39, provided  the down payment relates to the same  sales / purchase order.
    For  the  difference in customer  amount,  its  difficult  to answer as    it may be due to  wrong account selection or  wrong amount entered in customer.
    Thanks
    kamala

  • Travel advances followed up by special g/l indicator - activating HRV

    Hi all experts!
    I'm on an assignment where the customer wants to change the procces of travel expense advances. Today, the advance is debited on a short term asset account and credit the vendor account. The advance is paid out to the employee and the payment is debited the vendor account. The actual trip expenses is debited a cost account and credit the vendor account. If the trip expenses is lower than the travel expense advance, there will be a debet post on the vendor balance. This way of handling the surplus of cash advance makes it more difficult to analyze and settle the surplus of the employee.
    The customer wants to follow up the cash advance by special g/l indicator. I have search for how to make this field available in the tables of Travel management where You define the assigment to symbolic accounts in Travel management to accounts in Financial accounting.
    There is a procedure called HRV trip costs posting Advances which would enable this.
    How do You activate this procedure in the IMG?
    Best regards
    Eva

    Hi,
    The procedure HRV is not suppported by SAP anymore. It was supported up to release 4.6C but removed as it was invcorrect. There is a modification however.

  • Travel advances per special g/l indicator - activate HRV

    Hi all experts!
    I'm on an assignment where the customer wants to change the procces of travel expense advances. Today, the advance is debited on a short term asset account and credit the vendor account. The advance is paid out to the employee and the payment is debited the vendor account. The actual trip expenses is debited a cost account and credit the vendor account. If the trip expenses is lower than the travel expense advance, there will be a debet post on the vendor balance. This way of handling the surplus of cash advance makes it more difficult to analyze and settle the surplus of the employee.
    The customer wants to follow up the cash advance by special g/l indicator. I have search for how to make this field available in the tables of Travel management where You define the assigment to symbolic accounts in Travel management to accounts in Financial accounting.
    There is a procedure called HRV trip costs posting Advances which would enable this.
    How do You activate this procedure in the IMG?
    Best regards
    Eva

    Hi Raynard!
    Many thanks for Your reply!.
    As I understand from the linked information, standard SAP does not include the use of special g/l indicators regarding cash advance in Travel Expenses/travel Management. The procedure HRV is not anymore valid for this purpose. Right?
    The feature TRVCT, is that a BADI?
    Best regards Eva

  • Clearing customer Items with Special G/L Indicator 'A' (down payment)

    Hi All,
    I've to clear two items of a customer by t.code F-32:
    Both items, that I dysplays by t.code FBL5N (u20AC 20.000,00 and - 20.000,00), are with Special G/L Indicator 'A' (down payment).
    Only the first one contains a 'tax amount' equal to 4.000,00.
    When I process the open Items of the customer by t.code F-32, I expect to see the two items as follows
    20.000,00
    - 20.000,00
    Instead, SAP displays as follows
    24.000,00
    - 20.000,00
    So, I can't clear them as 24.000,00 is not equal to 20.000,00
    Could anyone tell me ho to solve?
    Thanks

    Hi Maurizio,
    first of all, thanks for your answer.
    I've checked the tax category in the G/L account master data of the special G/L
    account used for down payments (A). Tax category is equal to '+ '.
    According to this setting, I posted a customer credit memo as follow:
    Item 01; posting key 11; Customer account XXX; Amount 24.000,00
    Item 02; posting key 09; Customer account XXX; Special G/L Indicator A; Amount 20.000,00 (tax code 20%)
    Item 03; posting key 40; Debit tax account; Amount 20.000,00 (tax code 20%)
    Now I've to clear the item 02 of that credit memo. When I try to do it by t.code F-32, SAP displays the amount 24.000,00 (with tax amount) and not 20.000,00.
    Clearing that item, the system create a automatic posting for tax account of 4000,00.
    This is my issue: SAP shouldn't create this posting for tax account.
    Thank again.
    G.

  • New special G/L indicator for down payment when doing billing

    Dear Master,
    As you know, when create down payment invoice by VF01, system choose default special G/L indicator F. Now I would use new special G/L indicator for this transaction.
    The reason I must change is when you do cancel down payment invoice, the accounting document of cancel down payment will not have any lines items so I have to change with hope the cancel down payment will contain lines item as normal cancel invoice.
    Is there anyway to do that? I highly appreciate your support!
    Best regards,
    Nguyen Pham.
    Edited by: Nguyen Pham on Apr 20, 2011 9:29 AM

    Dear buddy,
    Thank for your support.
    I have other concerns belong to cancel down payment request. As you know with notes item, cancel of notes item will not have any lines in accounting doc. Now I would have lines detail inside so Is there anyway to do that?
    Best regards,

  • Special G/L Indicator exception

    Dear All.
    We have no of Spl G/L indicators and we need to configure in FBZP, but system is not allowing all the Spl G/L indicators, Then we created one dummy Spl G/L indiactor and maintained in the exception list that g/L indicator, but sap not allowing the other spl G/L indicators line items.
    Means my vendor have 8 line items including spl g/L indicators but system is not showing all items, but if i maitained teh spl G/L indicators 2 for that vendor, system is showing all teh line items,
    Thanks in Advance
    Kanike

    Hello Maz,
    Please can you tell me the solution. I have the same problem with the following
    Message no. F5053
    The specified special G/L indicator is not classified as "down payment"
    or not listed in the list of the target special G/L indicators for
    indicator "F".
    I have done all the settings in OBYR for Vendors and even included the  Target sp.G/L ind 'Z' in my case for down payment request F.
    Your help will be highly appreciated
    Regards
    Satish
    EFI

  • Special G/L indicator - Due on date issue

    When I am posting to a vendor with Special Gl indicator, system is asking me to put DUE ON date. Whereas when we post to a vendor (without special GL indicator) FB60, standard behaviour of the system is to calculate Due On date based on the baseline line date and payment term defaulted.
    I have checked the field status of the posting key attached with Special G/L indicator, and I have also checked the field status group of the alternative reconciliation account attached with the Special G/l indicator. Due date, payment term are in optional status. We are using standard posting key 29 and 39
    And I have also checked the payment term in the vendor master
    Please advice how can we default or let the system calculate this Due On date for vendor posting with special G/L indicator. We don't want to manually enter this Due On date like any other vendor posting without special G/L indicator. Or atleast want to know the reason why system is asking us to manually enter the Due ON date in case of vendor posting with special G/L
    Thanks.
    Ron
    Edited by: Ron on Mar 13, 2010 5:53 AM
    Edited by: Ron on Mar 14, 2010 3:00 AM
    Edited by: Ron on Mar 15, 2010 8:15 AM

    Hi Srinivasa,
    My question is when I am posting an invocie to a vendor (FB60), Due On date is automatically calculated based on the defaulted baseline date and the payment term in the vendor master. But when I am posting the invocie to the same vendor with Special G/L indicator, Due On date is not automatically calculated and system is expecting me to enter this date manually. Is there a way we can default this Due On date based on payment term like it happens when posting to other invoices without Sp Gl indicator?
    Thanks
    Ron

  • IDocs for items posted with special G/L indicator

    Hi all!
    Is it true that the idoc types for open items (acc_billing, acc_invoice_receipt) are not able to post items with special G/L indicator.
    Does this mean that i have to implement a program of my own which builds up a FIDCCP02 idoc to post open items from a legacy system for migration??
    Thanks for your advice.
    Axel

    Hi Sukumar: This is a migration project from one R/3 4,6C to another one (5.0). Exits in this area may have influence on postings to be distributed immediately when posted in the source system to any target system. My task is, to migrate existing open items including special G/L items. There is just a transaction to create such idocs (GAL3), but i do not see, what this transaction would help. So a program of my own must be created.

  • How to see Special G/L Indicator when do MIRO

    Dear friends,
    Would you please let me konw how to make the fields 'Special G/L Indicator' required entry when we do MIRO?
    IN our system I can't see this field when I do MIRO.thank you for your kind help!
    Regards!
    Wendy

    Hello,
    Please let me clarify:
    Special GL transactions are special transaction which are not used for normal transactions. Special GL transactions are used for example down payments, guarantees received, security deposit and down payment deposit etc.
    When it come to MIRO, this is a normal transaction against a specific purchase order and goods receipt in general. Hence, the question of Special GL Indicator does not arise.
    If you come across a special GL indicator in MIRO screen in Standard SAP, please update the forum.
    Thanks in advance,
    Regards,
    Ravi

Maybe you are looking for

  • 1z0-051: SQL Fundamentals objective inquiry

    Hi, first of all I wish if this is the right way/ forum to ask. If not, please accept my apologies, in advance. I'm preparing for 1z0-051 Oracle Database 11g SQL Fundamentals 1 exam. My main refrence is : OCA Oracle Database 11g SQL Fundamentals I Ex

  • IPad 2 headset no sound from one side

    Only one side of the earphone (right) has sound when headset is plugged into my iPad 2 running OS 8. I've tried several other headsets as well, but it's still not working. The headset works perfectly on other devices though. The problem have been the

  • Inbound IDOC for Invoice failing at segment-E1EDK28- Incorrect BankAccNumbe

    Hi SDNers, We have  EDI - Invoice/Invoice Processing. Inbound Idoc failing  at segment E1EDk28. This is because  in segment E1EDK28 , 1. The field ACNUM has the value for Bank Account Number as N111111A. 2. This is incorrect. 3. This field should hav

  • Security Advisory (How to apply)

    I have a ?.  I checked the latest Security Advisory registry fix and noticed that the registry root involved is HKEY_CURRENT_USER.  I checked the registry and saw the key in the account I applied the fix, but not in other accounts.  My question is "D

  • Stand alone application with VISA

    Hello,  I build a stand alone installer application from my VI using LV 7.1 VI which contains some VISA serial communications with a standard RS232 port.  In build application wizard settings I checked the Serial Port Suport in Advanced settings in I