Offset incoming payment without superuser role

I would like to give one user to do incoming payment and to directly offset with outstanding AR invoice but I don't want to give them as superuser.
Try to play around with the authorization but cant find any, even you set the user not as superuser but give full authorization on all subject but still cant work, they cant see the out standing invoice.
I am using 2007B PL16

Hi Gordon, when you say restart you means close the SAP client and open it again? I have not done that before but I am opening two window at the same time one is the manager row and the other one is the user row I just do the refresh by doing form setting and apply authorization.

Similar Messages

  • Incoming payment without Customer

    hi,
    May I know how to enter incoming payment without customer, and knock off the payment with an invoice later on?
    Thank you..
    Regards,
    Catea k

    Hi,
    Without knowing the customer you can keep track of the amount which you had received.
    but you can do like this for Which document  A/R  or A/p invoice the amount was received in this case you can collect teh amount by selecting ON ACCOUNT. and keep track of the vendor / customer balance.
    Regards
    Chidambaram

  • How to Insert Incoming Payments without Invoice?

    Hi,
    Please help me how to insert incoming payments without invoice or those Incoming Payments that is paid to account. I have created code for this but error pops up: "Cannot perform transaction in controlling type account [ThankJDT1.Account][Line: 2]"
    Thanks...

    Hello,
    you may try this:
    Dim oPymt As SAPbobsCOM.Payments
            Dim sum As Decimal = 0 ' Forget double 4ever
            oPymt = oCompany.GetBusinessObject(SAPbobsCOM.BoObjectTypes.oIncomingPayments)
            oPymt.DocDate = Date.Today()
            oPymt.CardCode = "CB0001"
            oPymt.CashSum = 1200
            oPymt.CashAccount = "38110000" ' here you enter your the account where you record the payment
            If oPymt.Add = 0 Then
                MsgBox(oCompany.GetNewObjectKey())
            Else
                MsgBox(oCompany.GetLastErrorDescription)
            End If
    Regards
    János

  • Reallocating Incoming Payments without cancelling deposit

    There does need to be a method whereby incoming payments can be allocated to different invoices without having to go back and cancel the deposit.
    If Credit vouchers are submitted automatically, the incoming payment is unable to be cancelled at all, making a simple task very complicated.
    Sometimes deposits include many cheques which also makes the process difficult.
    Users who are authorised to allocate payments / process incoming payments are not usually authorised to deposit funds, or to cancel deposits.
    It is frequent that a payment can't be exactly matched at the time of receipt, and the remittance advice arrives at a later time

    There is no provision for this requirement other than Journal Entry.

  • Issue with customer Incoming Payment

    Hi Gurus,
    I need your help related to an issue with Incoming customer payment. This is the first time I am doing this Incoming payment set-up. I have odne the payment program set-up for outgoing payments. I need to configure the automatic payment program for incoming payments. After the payment run is successfully executed, we need to create and send Idoc's to the bank. This process of payment run and Idoc creation is being used successfully for outgoing payments.
    From configuration side, I have created a new payment method and have set it up for incoming payments. I have selected ACH as format and PPD as format supplement. I did the bank set-up and have assigned a partner profile to it. I have assigned a reference key 17 in the SPRO-> Print->Payment media.
    The issue is that when I run the payment run for customer open item, the payment run is successful and the item gets cleared but no Idoc's are being generated. I have entered my House bank and account number in the variant as well. I am getting the following error:
    Step 001 started (program SAPFPAYM_SCHEDULE, variant &0000000000869
    No variants found for format ACH
    No Payment Media Created in Format 100
    I would really be thankful if you can help me in resolving this issue. I am not sure which step I am missing.
    Thanks,
    Best Regards,
    Shalu

    Hi Lakshmipathi,
    Yes the Document split has been activated. This issue is the specific one. We have different C&F location. Sales happens accross India. Hence we have created the Business area concept for each location to get the location wise balance sheet. I have also activated the zero balancing for Profit center and also Business area so that i can derive the Location wise Balance sheet.
    Now the sales invoice has been processed from C&F Location. Customer deposit the Cheque directly to the Head office Bank and not at the C&F Location bank. I don't want to clear the existing open item because 50% of the cheque gets bounced. So i am booking the incoming payment without clearing the open item.
    While processing the incoming payment user is entering the C&F location business area in the customer line item (Credit line item) and Head office business area for the Bank line item as the bank is at the Head office so that we can arrive the Balance sheet.
    Now system is not deriving the profit center for the customer line item even though the business area wise zero balance has been activated. Recon account field status group has market as optional for profit center but in F-28 i am not able to get the profit center field (Because it is balance sheet item).
    The Document type already been configure for Document split and the Recon account also categorised as Customer inthe doc splitting. I don't have any problem with document split other than this issue.
    For this issue anything can be done in the document split??
    Regards,
    Devendran

  • Sales Return and Incoming Payments

    Hi,  I have worked with SAP Business One for a long time, but as an end user.  Now I am employed as SAP Support for my new employer.  I have a couple of questions:
    1. My past experience with SAP is that a Return is a function created through a credit memo.  My new company has a Return AND Credit memo in AR.  I understand why this is needed, but when a return is used instead of a credit memo, the invoice is not linked to the return, nor is closed by the return.  Is this because of the way the system was initially set up through SDK?  Can this be corrected/reconstructed to do Sales Order -> Delivery -> Invoice -> Return -> Credit Memo.  And have all the reconciliations done internally by SAP?
    2.  SAP was working on an issue but then stumbled upon another issue that they wanted me to look into from our database.
    Here is a copy of their response:
    In the course of our investigation for message 1065121 2010, for the database of (Customer 1127763), we noted that this is also affected by the scenario described in Note 1026115 - Invoice does not appear on Incoming/Outgoing Payment. I have attached the said Note for your reference. We have created this message on your behalf to pro-actively create a fix for the issue.
    What I found out: My past experience with Incoming payments was that in the incoming payment screen, you could easily reconcile/click on the credit memo and the invoice and add it just fine.  But in my new company, we are not allowed to add an incoming payment without entering a payment in the 'money bag', which is impossible because it's a credit memo against an invoice.  We have to do an internal reconciliation, therefore the invoices do not show up in the incoming payments table.  I know there is not a validation created to validate an incoming payment because I did not create a validated function to do so.  How is this possible?
    Your response is kindly appreciated.

    Hi Marianne,
    I think this is more a Business Process issue than an SAP issue.
    If you have delivered goods, but not invoiced them, the correct document is a return. If you have delivered and also onvoiced, the correct document is a credit memo, not a return.
    The return is drawn from the delivery, which creates the required links, and the credit from the invoice, also creating the links.
    Creating a return where the goods have been invoiced is a redundant step and will break the links, as you point out, and requires additional reconciliations.
    The credit memo based on an invoice will create all the accounting and stock entries you need. Perhaps some testing & training will convince them to change their processes?
    PS if you do use internal reconcilation to close an invoice, you can find the applied transactions by using right click on the invoice

  • Accepting Incoming Payments for BP on Hold

    We have certain BPs that are past due and we would not like to take orders from them. If i put them on hold then i cannot accept an incoming payment from them. In which case every time i try to accept a payment i have to take them off hold and put them back on hold which is a lot of work when you have tonnes of payments coming in. Is there an alternative where i can make sure no one takes an order but atleast they are able to accept an incoming payment without going through this complex process.
    Thank you
    Chintan

    hi chinsut
    yes there would be a sp with the name transitional notification u just need to right click and click on modify and at the bottom just write in ur code and execute it this would save ur code in the sp transitional notificatio
    and for the code u can check the link given by Godon it would help u in writing a similar code,
    Regards,
    Manish

  • Incoming Payments Error No matching records found G/L Accounts.

    I have a client that uses foreign currency. It appears that when I enter an incoming payment with VEF currency get this error. This only happens to some customers.
    When I make a partial payment and Do Not change the Total Payment on the line I get the error
    No matching records found 'G/L Accounts' (OACT)
    For example I have an invoice for VEF1000.00. I do not change the Total Payment. I go to the Payment Means and enter a Bank Transfer for VEF600.00. When I try to add I get the error.
    However, if I first change the Total Payment amount to VEF600.00, and then enter the payment means Bank Transfer for VEF600.00 I can add the incoming payment without the error.
    Any suggestions

    Hi,
    Can you please confirm whether the issue is happening even after the Rounding Account is defined in the G\L Determination window under the Administration > Setup > Financials?
    Kind Regards,
    Jitin
    SAP Business One Forum Team

  • Customer Aging Report Query (without invoices offset by incoming payment)

    Hi All Experts,
    May I know is there any field from JDT1 mention which invoices is already offset by the Incoming payment or AR Credit note? Because I do not want those invoices that already offset by incoming payment appear at the Customer Aging Report. Meaning, the data appear in the Customer Aging Report is only show those invoices that yet to pay by the customer. Kindly give some advise on it. Thanks a lot.
    Thanks and regards,
    Angie Ng

    Hi David,
    Thanks for your suggestion. I have try it, but all of my JDT1.IntrnMatch is in 0 value. Meaning in my situation it is none of any reconcilliation making. But from my SBO window, i manage to see that actually this incoming payment is pay for which invoices. Problem is it is difficult for me to do the possiblity logic that might be happen in my Customer Aging Report Query. Please give some advise that how to show only those invoices yet to pay? The current query will show all the data no matter the invoices or credit memo has been offset.
    select OCRD.cardcode 'Supplier Code',OCRD.cardname 'Name',sysdeb  'Debit GBP',syscred 'Credit GBP',
    case JDT1.transtype
    when '13' then 'INV'
    when '14' then 'AR CN'
    when '24' then 'INCOMING'
    else 'Other'
    end 'Type',
    Ref1,
    fccurrency 'BP Currency',
    CONVERT(VARCHAR(10), refdate, 103)'Posting Date' ,
    CONVERT(VARCHAR(10), duedate, 103) 'Due Date',
    CONVERT(VARCHAR(10), taxdate, 103) 'Doc Date' ,
    CASE
    when (DATEDIFF(dd,refdate,current_timestamp))+1 < 31
    then
    case
    when syscred <> 0 then syscred * - 1
    else sysdeb
    end
    end "0-30 days",
    case when ((datediff(dd,refdate,current_timestamp))+1 > 30
    and (datediff(dd,refdate,current_timestamp))+1< 61)
    then
    case
    when syscred <> 0 then syscred * - 1
    else sysdeb
    end
    end "31 to 60 days",
    case when ((datediff(dd,refdate,current_timestamp))+1 > 60
    and (datediff(dd,refdate,current_timestamp))+1< 91)
    then
    case
    when syscred <> 0 then syscred * - 1
    else sysdeb
    end
    end "61 to 90 days",
    CASE
    when (DATEDIFF(dd,refdate,current_timestamp))+1 > 90
    then
    case
    when syscred= 0 then sysdeb
    when sysdeb= 0 then syscred * - 1
    end
    end "90 + days"
    from JDT1,OCRD where JDT1.shortname = OCRD.cardcode and cardtype = 'c' and intrnmatch = '0'
    ORDER BY OCRD.CARDCODE, taxdate

  • List of open transaction at incoming/outgoing payment without choosen BP Code ..

    Hi
    I am facing an issue with incoming payment at one of my client. when we entered the any date of previous fiscal fiscal year in posting date field, list of a/r invoices,credit memo, JE is being appeared at row level.
    anyone face the same. any suggestion will be helpful.screen shot of screen is below as attachment.

    Hi,
    Without selecting BP code in payment window, still system shows record if you change posting date.
    Refer below screen shot:
    As normal window ( without changing posting date)
    After changing posting date:
    Not selected any BP code for window.
    Thanks & Regards,
    Nagarajan

  • Function module to display offsetting invoice of incoming payment

    Hi all,
    I would like to print the customer statement of accounts through sap correspondence. 
    Is there any function module where it will display out the offsetting invoice numbers of the incoming payment that I can use in the sapscript? 
    Eg:
    Incoming payment:  1,000.00
    Offset against
    Invoice A: 500.00
    Invoice B: 300.00
    Invoice C: 200.00
    Thanks.
    Rgds,

    Hi,
    When you do the clearing, these invoices are stored in BSAD Table under the field BELNR and the link between the incoming payment and the invoice is the clearing document number. You dont need any function module to determine the invoice.
    You can also get this link in the table BSE_CLR.
    Regards
    Mahendra

  • Incoming payments posting without clearing the customer open item

    Hi,
    Is there a way to post an incoming payment to a customer and let it sit as an open item?
    I want to segregate the posting and clearing of AR payments.
    One user posts the payments to the customer account.
    Another user clears this payment against an open item.
    All t.codes F-26, f-52 and f-28 all go on to processing open items and don't work for me..
    Does anyone have any workaround or suggestion on how to accomplish this?
    Thanks

    I can suggest posting the cash to the customers account as an unallocated enty using F-28 - we use charge of the difference and the posting keys to mange this.
    The the other users can contra the items to the open items using F-32 clear customer.

  • Rounding method in sales document and incoming payments in SBO2005,PL39

    While making an A/R invoice I wish the amount in the invoice to get rounded. Where is the setting or what is the process to do this? Is it possible in SAP B1?
    For example:- I make an Invoice of amount Rs.7000.36 and I want the amount recievable to be Rs.7000 only and the invoice should also carry this value. The rounded off amount Rs.00.36 may move to a offset account.
    Edited by: debraj bhattacharyya on Apr 15, 2008 7:20 AM

    Hi,
    if you want to allow over & underpayment, you can set ip up quite easily in the document settings -> per document tab -> overpayment/underpayment amount allowed for incoming & outgoing payments.
    For the 0.36 to be allowed off in the incoming payment you would have to allow an amount for 0.36 or more. Please see note 1089652 for an explanation regarding the tax implications of the functionality.
    If, on the other hand you wish to work without decimal places, just define the currency as having no decimals. You can also set it to be automatically rounded to the five hundredth, ten hundredth, to one or to ten. If the rounding is applicable to payments as well, put a tick in the appropriate column.
    Note: In order to set rounding at the currency level, the method under document settings -> general tab must be set to rounding by currency, otherwise the columns are not available in the currency definition window.
    Cheers,
    kerstin

  • FI-CA Incoming Payment

    Hi,
    In PSCD, when you post an incoming payment (transaction FP05), do you have to have FM account assignment for Cash line item?
    We recently upgraded our system from 4.71 to ECC 6.0.
    In 4.71, when we post incoming payment, there is no FM account assignment for Cash line item. System splits the cash line item based on the FM assignment on the offsetting Business Partner line items at the time of Forward posting the document to FI in Special Purpose Ledger document.
    Currently in ECC 6.0, since system is looking for valid FM account assignment for Cash line item, I assigned some general fund. As a result of this, additional line items were generated using Fund Clearing account to balance the document by FM assignments. This has 2 negative impacts:
    a. Extra line items (Fund Clearing account) are generated in PSCD document.
    b. Cash account balance is not available by "True" funds.
    I would appreciate if someone can send some info on this topic.
    Regards,
    Suresh

    Hi James,
    What I could gather from your post is that you are concerned only about the creation of a file in ACH format for check payments which are being posted in to SAP as payment lots.
    So, the ACH file that gets created during the FPY1 run is actually done by a standard program SAPFKPY3 with the help of preconfigured FM's linked to the ACH payment medium format.
    You can view these FMs by going to Transaction Code-FQP3. Select in the ACH format and clicking on "Event Module for Payment medium formats".
    Now coming to your requirement, all the payment information related to the payment lots are stored in DFKKZP table at the item level and at DFKKZK at header level.
    So you can develop a program which retrieves the information from these tables as per the business requirements in a structure accepted by the std program SAPFKPY3.
    You need to develop new FM's which will retrieve the information and would create the a flat file in ACH format.
    You need to take care of the scenario where  the check payment in the payment lot is not actually hitting the account, but is getting routed to the payment clarification worklist. It will depend on the business requirement  whether these scenarios are to be included in the ACH file or not.
    Hope it helps...
    Thanks,
    Amlan

  • Document Split for Currency Exchange while posting Incoming payment

    Hi Experts,
    Scenario:
    > Post incoming Customer payments using F-28
    > posting entered today (14 Jan 2009), but posting date is 30 Dec 2008)
    > Tested in Clients 001 and 005 (same setup in terms of GLs, Customers, Vendors, etc)
    I was able to post the incoming payment in Client 005.  However, in Client 001, I got error message:
    *Ex.rate diff.accts are incomplete for account 0000140000 (Trade Debtors/Customers) currency SGD
    Message no. F5063
    Diagnosis
    The accounts for posting exchange rate differences could not be determined. For the specified G/L account and the specified currency key, the accounts are only specified incompletely. Either the accounts for the implemented exchange rate difference, the accounts for the valuation differences or the balance sheet adjustment account are missing.
    System Response
    The system cannot generate the exchange rate difference posting.
    Procedure
    By pressing ENTER, you achieve that the document is reset to a status without automatic posting. In another window, you can complete default settings for exchange rate differences and post the document afterwards.
    Proceed*
    When I clicked Proceed, the system took me to OBA1, with "Document Split for Currency Exchange" option highlighted in blue.
    Does this mean that I need to create a new GL account to post Document Split for Currency Exchange?
    Note: Setup for OBA1 both 001 and 005 are the same. But I only encountered the error in 001.
    Hope someone can help me.
    Thanks...

    problem solved: add relevant Open Item GLs in OBA1 (Account Determination for OI Exchange Rate Differences)

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