OFX Payment and OFX Electronic Bank Statement

Dear All,
Iu2019m facing  with OFX  (internet payments) in Canada. Note 395679 speaks about OFX format managed with PMW. How is that format called in sap ? I look for in PMW using tcode DMEE.
I also  found some standard transaction(FEBOFXN and others like OBOFXBUS  for the settings) for OFX payments and Electronic Bank Statement management. Where I can find some standard documentation ? Is a
Is there someone who has experience with this issue ?
Thanks in advance for your cooperation.
Regards
Paolo Lancioni

check these,
http://help.sap.com/saphelp_erp60_sp/helpdata/EN/10/31f724ca6311d387f6080009b423f4/content.htm
http://www.sapdb.info/configure-electronic-bank-statement/
Regards,
Ravi

Similar Messages

  • Statistics on automatic processed payments by the electronic bank statement

    Hi fellow sap knowledge hungering colleagues.
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    Hi,
    the bank normally includes the details provided by the customer in the bank statement.
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    also refer the Note 494777 - Customer enhancements in electronic bank statement.
    Thanks

  • Electronic bank statement customer payment and invoice(s) clearing

    Hi there,
    I am configuring electronic bank statements and wanting to "increase the hit rate" of automatic clearing. For this, I have configured postings, posting rules, etc. and I am testing on a bank statement we receive from the bank (this is ABN Amro in Germany) and all works fine. I see it with FEBA and the line items are posted to GL ok. I then configured the define search string for electronic statements to search in the note to payee our invoice numbers, which also are our document numbers, that the customers pay. I linked the search string use to algo 20 Document number search. I also changed the external transaction type assignment so that the appropriate posting rule refers to algo 20 too. When I use the simulation prog FEBSTS, it shows me all the documents found in the note to payee of all the items, and displays the document numbers found that match the note to payee for the few cases I have set-up for testing. All this look to me very good.
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    Message was edited by:
            Jean Weyrich

    Thks Ramesh for the hint but this did not change, although I changed this table so that it looks for BELNR only for all account type D.
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  • Electronic bank statement with CTX payment advice

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    Stephen

    Hello,
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          WHEN '000'.                 <- A when for every Int. Algorithm
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  • Electronic Bank Statement and IHC update

    Hi SAP Gurus
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  • Electronic bank statement and new General ledger

    Hi all,
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    I found the answer in Customizing new G/L. thanks anyway.
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  • How and where to modify the BAI File for Electronic Bank Statement

    HI,
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    kischowdary--gmail.com

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

    Hi,
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  • Electronic bank statement global setting and search string usage

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    2) Define Search String for Electronic Bank Statement
    When bank statements are imported and possessed via FF_5, which of the above configuration will take priority.  I'm now using BAI2 bank statement

    The Global Settings are required for loading bank statements.  The Search String configuration is optional.  Search strings are used in to override and/or augment the Global settings.
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    Regards,
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  • Electronic Bank Statement Determining Incorrect Business Partners

    Have an issue with some electronic bank statements we import into SAP. Several of the line items we get from the bank identify the incorrect business partner when creating the payment advice. We are using intepretation algorirthm 001 to interpret the Note to Payee field in the statment.
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    What is weird to me is that when I repeat the issue in another environment and simulate using FEBSTS, it is finding "document numbers" that are text strings and somehow determining the vendor from that. I cannot figure out what logic it is using to do this and why it thinks that when it sees ABCDEGF in the Note to Payee it should be for vendor 1234555, for example.
    These are files from Citibank and the Note to Payee field is in German if that make any difference. The easy solution is to setup search strings that correspond to the text found in there like we do for the other 5 instances which would solve it but we probably won't catch all instances upfront and this issue will still be present;
    Thanks in advance for any assistance.

    Anyone?

  • Automatic Clearing & Electronic Bank Statement

    Hi,
    During EBS processing, open items are automatically being cleared but only based on amounts. I've configure in OB74 that criteria for clearing should be amount & value date.  It seems that EBS does not read the settings in OB74? Where is the correct path to set this up?
    Does EBS really allows upload of bank statement even if ending and beginning balance are not equal? Is there a way to control this?
    Thanks,
    Chaikaru

    Hi Chaikaru,
    OB74 is not the path for EBP processing. OB74 is used for account clearing in F.13 or F13E.
    You need to go to the path:-
    SPRO > Financial Accounting (New) > Bank Accounting > Business Transactions > Payment Transactions > Electronic Bank Statement
    You need to define interpretation algoritham. Please go through the below one:-
    OSS Note 494777 - Customer enhancements in electronic bank statement
    OSS Note 597428 - El.accnt statement: Customer-specific interpret.algorithms
    OSS Note 549277 - FAQ: Electronic account statement
    OSS Note 414233 - Accnt statement:customer-specific interpretation algorithms
    Regards,
    Gaurav

  • 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,
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    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
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    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
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  • Electronic Bank statement

    Hi,
    We are planning to use F110 transaction to generate the automatic payment advice(with payment orders) and it will be sent to Bank.Once the payment is made,I understand that the Bank will send the electronic Bank statement based on which we can clear  the vendor open items.We like to simulate the clearing process based on the electronic Bank statement.
    Can any of the forum members provide a sample electronic bank statement.It will help us is understanding the clearing process.
    Thanks in millions,
    Leo

    hi
    i have seen your posting at forum in service.sap.com REGARDING ELECTRONIC BANK RECONCILATION.
    In the reply you made regarding EBR you have mentioned about two options for f110. Actually our banker requires a unique identifier for eact electronic transaction. i have configured DME and getting text file for each APP run. however i was wondering how clearing will be done while receiving advice at day end and statement at month end.
    Your reply seems to match my comapanies scenario however you are requested to more clarify about your forum reply.
    what is option no. 2
    2- Close Vendor and post to an Out of balance sheet account. When receiving bank statement you have to post to this Out of balance sheet account(which is then closed) and bank account. In this way you have a clear picture for your bank accounts.
    How setting of this is done. R u talking about payment order.
    what is account gour of Out of balance sheet account.
    what is entry passed when you do app run.
    what is the way to do bank recon and payment advice upload.
    thanks
    s ap

  • Customer enhancements in electronic bank statement

    Hello Guys,
    I have the following requirement for electronic Bank statement regarding customer incoming payments operations:
    I need to clear Customer open items based on the bank data: the system should find the customer code based on his bank account number and clear the open items for this customer based on the amount and other text elements.
    Do you know if I can use an existing function module or program to do so?
    Thank you in advance for your help
    Best regards
    Pascal.

    Why post to the clearing account? You can directly post to the customer account.
    Debit Bank
    Credit customer
    For this you have to create a posting rule which will be linked to the external code (BAI code if you are getting the bank statement in BAI format) and the posting rule should have 'standard algorithm' assigned to it.
    Then while uploading the bank statement you have to give the range of customer invoice numbers against BELNR or XBELNR. The system will automatically identify the customer based on the invoice number on Record type 16 appearing in Bank statement and clear the open item and generate the above accounting entry.
    For a detailed description of how the EBS works, please see the thread titled EBS posted by Sheena Mehta and answered by me.

  • EBS - Electronic Bank Statement Multiple Posting Rule for One External Transaction Type NTRF

    hello SAP Gurus,
    I'm configuring EBS - Electronic Bank Statement. My requirement is for Bank External Transaction Type NTRF <for Incoming Payment> I want to assign 2 posting rules for Posting Area 2 that is Sub-Ledger posting viz. <1> For the payments received from Customer which should clear the Customer Open item since it is bill to bill exactly matching the open line item and <2> For the payments which should not clear the Customer Open item since i know that they are not bill to bill and only partial against the original line item
    Is this possible? if yes then how?
    Currently, SAP allows only one assignment like one external transaction type NTRF => one Posting Rule <either clear the sub-ledger-system picks FB05 or just post on Sub-ledger so that not to clear - system uses FB01 >
    Journal for Posting Area 2:
    Bank Clearing Account Dr
       To Customer Account Cr  <either set this to clear with original invoice / or just post on customer so as to clear/handle it manually later on once paid fully>
    So, what is the solution; how can i differentiate my incoming whether fully payment or partial payment; since bank statement always tag it to external transaction type NTRF always for any incoming payments !
    regards,
    `raj. 

    Hi,
    You cannot create separate rule with sub ledger postings while executing electronic bank reconciliation.The reason is your bill to bill transfers should posted to bank sub ledger account first and then you can write a BDC to clear sub ledger account.Otherwise use F.13 to clear the sub ledger account.
    Regards
    Chrishantha

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