Oracle AP: No invoice is selected in Payment

Hi,
I have input an invoice with payment method = CHECK and already made it validated and accounted.
When, I tried to make a Payment, after enter the Supplier and click the button "Enter/Adjust Invoice". I can't have any valid invoice (LOV) in Select Invoices form.
How come it happens?
Is there any procedures I have missing?
B. Rgds,
Sunny Yip

Sunny,
What is the application release?
Please see if (Note: 947862.1 - Invoice Number is Not in the List of Values LOV in the Payment Workbench) is applicable.
Thanks,
Hussein

Similar Messages

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    Hi,
    You can select the Payment Term at PO Header Level.
    When you book an invoice, that Payment Term will automatically defaulted to Invoice.
    You can define Payment Term in AP.
    Payment terms have one or more payment terms lines, each of which creates one scheduled payment. Each payment terms line and each corresponding scheduled  payment has a due date or a discount date based on either a specific day of a month, such as the 15th of the month, or a number of days added to your terms date, such as 14 days after the terms date.
    Payment Terms (Oracle Payables Help)

  • How to add invoices while creating Batch Payment in Oracle Apps R12

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    Can you elaborate your problem in detail ?

  • No invoices selected in payment run

    Hi,
      Our users did a payment run for 2 vendors, but no invoices are selected. Actually there is one open invoice for each vendor. But they are trying to do the payment run on 31st march.and the document is posted on 30th march. I checked the data but cannot find any clue.
    Can any one help me to solve this.
    Thanks,
    Sravanthi

    Hello
    There could be 2 reasons,
    One is payment method and bank selection not maintained in vendor master record
    or during invoice creation some parameters of payment details were not maintained
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    Reg
    assign points if useful

  • APP-SQLAP-10380: You cannot select this payment document

    User did a quick payment. When the check failed to print user voided the check and tried to reprint. Now when the user is trying to reissue the check they are getting the following: APP-SQLAP-10380: You cannot select this payment document because it is in use by another payment batch.
    I went through Metalink and found this article: R11i: Quick Payment For EFT Payments Will Not Release The Document To Pay Other Invoices [ID 158828.1]
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    Any help would be appreciated.
    Thanks

    Please see these docs.
    R11i: SEPA: AFTER PATCH 6741280, QUICK PAYMENTS ERROR APP-SQLAP-10380 [ID 1060865.1]
    App-Sqlap-10380 You cannot select this payment document payment batch formated [ID 309655.1]
    APP-SQLAP-10380: You Cannot Select This Payment Document Because it is in Use by Another Payment Batch [ID 1335053.1]
    R11i / R12: FAQ for Single European Payments (SEPA) [ID 791226.1]
    APXPAWKB After Using NL Payment Format For Quick Payments, Payment Format Cannot Be Used Anymore [ID 250332.1]
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    Thanks,
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  • Foreign currency invoice Through APP Run Payment

    Hi SAP Guru's,
    My company code currency is "SEK" , and i am posting in FB60 currency is USD then i was Run app It is Showing like this Error
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    Step 001 started (program SAPF110S, variant &0000000021747, user ID BREDDY)
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    Information re. vendor 65670 / customer  / paying company code 3130 ...
    Payment with currency USD, payment method : No valid payment procedure
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    End of log
    Step 002 started (program SAPFPAYM_SCHEDULE, variant &0000000008301, user ID BREDDY)
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    Thanks in Advance,
    Bhaskar Reddy.S

    Hi Vishnu,
    Thanks for your quick replay,it is also very useful answer to me. and i got the solution finally.
    Setps:-
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    2)FBZP >BANK DETERMINATION> RANKING ORDER (Select ur company code), We need to maintain The which currency you want to like you have payment method "C" You should maintain
    Payment Method       Currency     Ranking.Order          House Bank
    C                                SEK                 1                            1000
    C                                USD                 2                            1000
    C                                  GBP                3                             1000
    Under  Bank Accounts Folder
    House Bank           Payment Method         Currency      Account ID     Bank Sub account           
    1000                             I                               SEK             SEK1               200101
    1000                             I                               USD             SEK1               200101
    1000                             I                               GBP             SEK1               200101
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    1000                       SEK1                0           SEK           9,999,999,999,99
    1000                       SEK1                0           USD           9,999,999,999,99
    1000                       SEK1                0           GBP           9,999,999,999,99
    Thanks,
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  • Invoice Print Selected Invoices program is failing when language is not US

    Hi All,
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    +-----------------------------
    | Starting concurrent program execution...
    +-----------------------------
    Arguments
    p_order_by='TRX_NUMBER'
    p_customer_id='10044'
    p_open_invoice='N'
    p_check_for_taxyn='N'
    p_choice='SEL'
    p_header_pages='1'
    p_debug_flag='N'
    p_message_level='10'
    APPLLCSP Environment Variable set to :
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    Entrer mot de passe :
    MSG-00100: DEBUG: AfterPForm_Trigger +
    MSG-00100: DEBUG: Multi Org established.
    MSG-00100: DEBUG: AfterParam_Procs.Get_Country_Details
    MSG-00100: DEBUG: AfterParam_Procs.Switch_On_Debug
    MSG-00100: DEBUG: AfterParam_Procs.Get_Trx_Number_Low
    MSG-00100: DEBUG: AfterParam_Procs.Get_Trx_Number_High
    MSG-00100: DEBUG: AfterParam_Procs.Get_Tax_Option
    MSG-00103: lp_trx_date_clause = and a.trx_date = a.trx_date
    MSG-00100: DEBUG: BeforeReport_Trigger.Build_Where_Clause
    MSG-00100: DEBUG: P_Choice: SEL
    MSG-00100: Oracle Error in call to Before Report Trigger -6502
    REP-1419: 'afterpform': Abandon du programme PL/SQL.
    Report Builder: Release 10.1.2.3.0 - Production on Ma Avr 2 05:59:27 2013
    Copyright (c) 1982, 2005, Oracle. All rights reserved.
    Can anyone please tell me what is the problem or is there any mistake in my approach?
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    Please see the following docs.
    R12: Invoice Print Errors With REP-0069, REP-57054, REP-1419 [ID 557171.1]
    Invoice Print Error: Printing Selected Invoices (Multiple Languages) Is Erroring Out With REP-0069: Internal error [ID 731171.1]
    Thanks,
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  • Program ZRFFOM100: No records selected - Automatic payment run

    Hi Guru's,
    I am facing a problem in payment run.
    I am able to do the payment run. Vendor balance is getting reduced. But when it come to print(Cheque, payment advise and payment summary) it is not working.
    In the print parameters all tick is provided. 
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    Job started
    Step 001 started (program SAPFPAYM_SCHEDULE, variant &0000000000096, user ID SATYA)
    Step 002 started (program ZRFFOM100, variant &0000000000017, user ID SATYA)
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    Job finished
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    Thanks
    Deepak

    hi
    Generally SAPFPAYM  program is used  for wire transfer, if you want cheque details to be displayed in spool you might choose some other standard program name like Rffous_c and assign it to your payment method at country level
    in your case you might have selected  different program name, check it out at country level in T.code FBZP.
    and if you are using it for wire transfer follow these steps
    1create a payment method z i.e. wire transfer for country, select bank transfer instead of cheque and select use payment medium work bench and assign wire transfer form as ACB_ZA in format field
    2.Define payment method in co.code.
    3.configure bank determination for z payment method.
    4.add payment method z in your vendor master record.
    5.posting a invoice and mention z payment method in that.
    6.run the payment programme in T.code F110.
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  • AP Invoice - Credit memo - negative payment amount

    Hello all,
    I am working in 11i oracle apps.
    In AP_invoices_all table there is an invoice_id that has a negative amount on it
    I understood that it is a credit memo. Can you please explain what a credit memo is and how does it affect a business
    Also, when I checked the corresponding invoice_id in the AP_invoice_payments_all table, this invoice has a negative payment amount. What does this mean? How is it going to effect in the journal entries.
    Thank you
    Bob

    Hi.
    A Credit Memo can be considered the opposite of a Standard Invoice. It can be due to severeal reasons like, for example, when you claim to your supllier that the price for a certain good or service was higher than the agreed he can send you a Credit Memo in the amount of the price difference. You have recorded the Invoice (let's say $100) for the wrong price and now you will record the CM (let's say $10) for a negative amount being that the sum of the two documents correspond to the correct purchase you have done.
    This way, the table AP_INVOICE_PAYMENTS_ALL records the CM with a negative amount allowing you to pay the two documents (the positive invoice and the negative CM) for the net amount.
    About the journals entries:
    Invoice
    DR Cost $100
    CR Liabilty $100
    CM
    DR Liability $10
    CR Cost $10
    Payment
    DR Liability $90
    CR Bank $90
    Hope this helps,
    Octavio

  • Invoices paid using wrong payment profile

    Hello,
    This is on r12.1.3
    User has made a mistake.  They have selected few invoices  for payment and inadverantly selected a wrong payment profile (with Payment Type - Electronic).
    Whereas, it should have been a different payment profile with (Payment Type - Printed).
    Now those checks wont print and payment is applied to invoices.   Is there any data fix where I can point such invoices/payments to the  correct payment profile?
    Please advise
    Darsh

    Hi Darsh
    As a payment has been generated these invoices will not be selected for payment again under the other payment profile.
    The supported method of generating a payment under the other payment profile would be to cancel the payment but not the invoice and then amend the payment type for the new payment profile to select.
    AB

  • I can't select a Payment Method and a key for Terms of Payment Key...

    Hi All,
    I've created a G/L account with open item management but it isn't a reconciliation account.
    When I post a document on this G/L account, I'd like to select a Payment Method and a key for Terms of Payment Key.
    I can't find the fields to select them....
    Why does it happen?
    Thanks

    Hi Umberto Gandalf,
    I got you. Payment Terms are objects used to excecute incoming and aoutgoing payments, and Payment Method are used to define net due date and conced discounts.
    Srikanth said above a way to post an invoice by FB01. If you are trying to post an invoice you should not use an Open Item acount. You must use Customes and Vendors Master data to do it. Your GL Account must be assigned in those masters data to take place on GL balance. Payment Terms and Payments Mathods will be entered during Invoice posting process.

  • Closing an invoice with an open payment

    Hello,
    Can anyone help in getting me started on how to close an invoice with an open payment?.  I have a requirement to find the open payments for an invoice and close the invoice programmatically.
    Thanks.
    -Richard.

    Dear Richard,
    Generally, we will close the invoices when we do payment on the invoices by function 'Incoming Payments' and 'Outgoing Payments' under 'Banking' in B1.
    Could you explain what mean 'open payment'?
    How to create the 'open payment'?
    Best Regards
    Jane Jing
    SAP Business One Forums Team

  • AR "Invoice Print Selected Invoices" program

    Hi to All,
    When we run the "Invoice Print Selected Invoices" program in AR. What table and column is used to store the flag for printing the invoice. When we look at the invoice, the more tab has the Print Option/Print Date. Where is the print date, time stamp stored?

    Hi.
    Have a look on RA_CUSTOMER_TRX_ALL table and columns PRINTING_LAST_PRINTED, PRINTING_ORIGINAL_DATE, etc.
    Octavio

  • URG:11i to R12.1.3: Invoice print Selected Invoices fails with REP-1419

    Hi,
    Invoice print Selected Invoices fails with the following error: Forcing NLS_NUMERIC_CHARACTERS to: '.,' for XDO processing
    APPLLCSP Environment Variable set to :
    Current NLS_LANG and NLS_NUMERIC_CHARACTERS Environment Variables are :
    American_America.UTF8
    REP-1419: 'beforereport': PL/SQL program aborted.
    Checked the setups based on 557171.1, 375693.1,1101855.1.
    Still the issue is existing.
    May i know the cause of the issue or is it a bug?
    Thanks
    Nancy

    Hi ,
    The cause of the issue is the standard rdf is set to run for single operating unit. But R12 is a moac setup enable application. Hence The operating unit mode is changed to Single from null in system administration concurrent program setting for the XML report concurrent program.
    This fixed the issue.
    Thanks
    Nancy

  • Query to find all standard invoices applied against pre-payment invoices

    Dear All,
    Please help me with the query which would list all the standard invoices applied against pre-payment invoices.
    Additionally they query show display the pre-payment invoices which are not yet applied.
    Example :
    Rec # Pre-payment inv # Inv-amount Standard Inv No. Amount Applied
    1 P001 100.00 S001 100.00
    2. P002 200.00 NULL NULL
    In the above example in record no. 1 for the pre payment invoice number P001 a standard invoice S001 is applied with same amount of 100.
    In the second record the pre payment invoice P002 is not yet applied and hence standard invoice number and amount applied are NULL.
    I need the output of the query in the above format.
    Please help me in this regard.

    Hi:
                Clearing document (AUGBL) generated against invoice with document type AB will be an option to use for reporting purpose. No matter invoice is partially cleared or fully exhausted system generates a clearing document against it. It stores the payment usage. System should check in BSID table with reference to AUGBL if there is anything left against invoice that is to be paid or if it is fully exhausted it will be present it BSAD along with it payment usage data. I hope this will help you in developing your report.
    Regards

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