Outgoing payment problem

Hi Gurus,
Can somebody help on below issue:
we have scenario payment with using payment on behalf, so one company paid for other company code.
and the problem company code in different country.
Example:
Company A (country SG, LC=SGD) , paid on behalf company B (country USD, LC = USD).
Using automatic payment run, not allowed to configure since the country and LC is different.
Tried F-58, this tcode only applicable for payment method = check
Tried F-53, this tcode can not produce payment advise and also not update table REGUH and REGUP.
Can any body give some clue on how we handle above requirement?
Thank you.
Edy

hi
i would like to treat Company B as a Vendor  & Customer in Company A's books.
Also Company A to be a customer & vendor in Company's B's books.
This would enable me to track the payments & receipts and most important perform clearing transactions with each other.
regards
eashwar

Similar Messages

  • Incoming & Outgoing Payment Printout Problem

    Hi All
    We have a problem on our incoming and outgoing payment printouts.  Both are set up to print once you add the document to the system.  The problem is that the original printout does not match the actual incoming or outgoing payment.  However once you do a reprint it prints out correct.
    I have taken both documents off print once document adds and when I go back to the incoming or outgoing payments and print the original it comes out correctly.
    I would like to know how to fix this problem so that once you add the documents it prints out and with the correct information.
    We are using SAP Business One 2007 A PL 30

    I have now managed to replicate the problem on two other databases one another clients database and another the demo database of OEC Computers. 
    Once again I will explain the problem.  When you go to incoming payments and you select a business partner that has many invoices lets say over 40 and you select five at the top and five at the bottom that you want to pay.  Once you go to payment means and enter your payment and press add the original that prints has not managed to only select the invoices that you have paid instead depending on your setup it will print the first 22 rows (in my case). 
    Then if I go back to that payment and do a reprint no problem it is 100% correct. 
    I thought it might be a simple setting or something however I have been able to replicate the problem on two other databases which makes it three in total.  Therefor I am wondering how to fix this and perhaps if anybody else has experienced this before.

  • Problem creating an outgoing payment with DI API

    Hi
    I've created a form that allows a user to select a BP and automatically reconcile the accounts for this BP by creating an Outgoing Payment. It all works fine for Invoices, Credits, Purchase Invoices etc., however if the account balance contains Incoming or outgoing payments I am not sure how to treat these as there is not an invoice type (SAPbobsCOM.BoRcptInvTypes) for these. For the other types of document I simply declare what type of invoice the document to be added to the outgoing payment is by looking at the Transtype field of the record from the JDT1 table. I then use the JDT1.BaseRef field to retrieve the document's DocNum which I use to return the DocEntry by looking in the relevant table e.g. for invoices - OINV. All I then need to do is set the OutgoingPayments.Invoices.DocEntry value to this DocEntry and Add the line.
    I also have the same problem with Opening Balances as I can't seem to figure out what to set the DocEntry value to as this seems to be stored as a Journal Entry which uses the TransId for it's primary key, however this does not seem to work.
    Thanks a lot.
    Steve

    Hello Steven,
    You can use createdby field to determine the docentry of the base document instead of quering docentry by docnum
    select createdby, transtype, baseref from jdt1
    Note: Always set the correct document type for payments: (createdby is ok in integer format)
    Example:
    Opening Balance:  JE # 8 amount 1000, created by Opening balance (not JE)
       vPay.Invoices.DocEntry = 8
       vPay.Invoices.InvoiceType = BoRcptInvTypes.it_OpeningBalance
       vPay.Invoices.SumApplied = 1000
       Call vPay.Invoices.Add
    Opening Balance:  JE # 8 amount 1000, created by Journal Entry
       vPay.Invoices.DocEntry = 8
       vPay.Invoices.InvoiceType = BoRcptInvTypes.it_JournalEntry
       vPay.Invoices.SumApplied = 1000
       Call vPay.Invoices.Add
    Sales Invoice:  DocEntry: 11  amount 1000
       vPay.Invoices.DocEntry = 11
       vPay.Invoices.InvoiceType = BoRcptInvTypes.it_Invoice
       vPay.Invoices.SumApplied = 1000
       Call vPay.Invoices.Add
    Regards,
    J.

  • Daily Outgoing Payment Report

    Hello,
    We have a Query shown below that allows us to view Incoming payments made each day to an invoice.
    SELECT T2.CardCode [BP Acct#], T2.CardName [BP Company Name], T2.DocNum [Invoice #], T1.DocDate [Receipt Date], T2.DocTotal [Invoice Sum], T0.DcntSum, T0.SumApplied AS 'Paid to Invoice' FROM [dbo].[RCT2] T0 INNER JOIN [dbo].[ORCT] T1 ON T1.DocNum = T0.DocNum INNER JOIN [dbo].[OINV] T2 ON T2.DocEntry = T0.DocEntry WHERE T1.DocDate = '[%0]'
    We would like to modify this query so that the last column of information shows the Outgoing payments made.  Meaning, any amount of money that we owe a customer and therefore apply to their outstanding invoice or as a credit memo, etc.
    Can someone show us how to do this modification?
    Thanks!

    Mike,
    Try this, this is your query, and it works perfect on my DB
    1) SELECT T2.CardCode BP, T2.CardName CompanyName, T2.DocNum Invoice, T1.DocDate ReceiptDate, T2.DocTotal InvoiceSum, T0.DcntSum, T0.SumApplied AS 'Credit to Invoice'
    FROM dbo.VPM2 T0 INNER JOIN dbo.OVPM T1 ON T1.DocNum = T0.DocNum INNER JOIN dbo.OPCH T2 ON T2.DocEntry = T0.DocEntry
    if this query give you results, the problem could it be in the WHERE clause "where T0.DocDate = '[%0]'
    Because you are not inserting a valid value in the '[%0]', maybe you are writing a date that doesnt existe in the "Existing Values" buttom.
    Slds,.
    Esteban Martinez

  • Can FI-CAx be used for making outgoing payments to business partners

    Hi All,
    Can we use the installment plan in FI-CA for the outgoing payments to business partners. Our company has lot of lease contracts and these contracts have payments due to be paid on a monthly, quarterly, semi-annual, and annual basis. All these lease contracts are managed in SAP Real estate Flexible objects. We want to use FI-CAx for making payments to these contracts and hence we are looking for integration between FI-CA and RE-flexible objects.
    From what I heard FI-CA is a receivables module and is not best suited for payables, so please let me know if we can use the outgoing payment plan and installment plan in FI-CA for making payments to business partners.
    This is a bottleneck in our implementation. So please help me asap.
    Thanks in advance. Points will be awarded to all the useful solutions.
    Santosh

    Hi Santhosh,
    FYI my answers below
    Can we use the instalment plan in FI-CA for the outgoing payments to business partners.
    u2022I would say Yeah. ofcourse there is a way to do it provided you have created existing OI in Real estate in FI-CAX. This is because, weu2019d Refund money to the customer. In the same token I do not see any problem in paying monies to them!!!!
    u2022You need to create your RE-FX contracts unto FICA as Contract Accounts <1:1 ratio>.
    Our company has lot of lease contracts and these contracts have payments due to be paid on a monthly, quarterly, semi-annual, and annual basis. All these lease contracts are managed in SAP Real estate Flexible objects. We want to use FI-CAx for making payments to these contracts and hence we are looking for integration between FI-CA and RE-flexible objects.
    u2022Assuming that you have your RE-Fx data unto FICA, next step is to configure Instalment plans < monthly, quarterly, semi-annual, and annual >.
    u2022Next you create Instalment plans for the contract accounts <FICA> as required.
    u2022Now, if you want to pay the amount, you need to attach outgoing payment method in Contract Account, Configure your Payment program.
    u2022Now run your Payment Run <FPY1 =4.72; FPYS = ECC>.
    u2022All the OI would be cleared. If you want to send the file to the bank, you can do so or you can also issue cheques.
    From what I heard FI-CA is a receivables module and is not best suited for payables, so please let me know if we can use the outgoing payment plan and instalment plan in FI-CA for making payments to business partners.
    u2022Look above.
    OI = Open Item
    Other points you need to consider:
    1. Are the amounts in RE-FX consistent <equal through out the installment plans>?
    2. Do you want to create separate Installment plans in FICA?
    3. If yes, above should be helpful.
    4. If not, identify an Interface between RE-FX and FICA.
    5. What are your plans to close the Contracts in RE-FX once all the Installment plans are being paid in FICA?
    6. Do you want to establish an Interface between RE-FX and FICA so that data would be transferred bt them automatically?
    7.Is point no 6 one way or 2 ways <i.e RE-FX to FICA and vice versa>
    8. What is the volume and frequency?
    9.Other points if any
    Does this helps?
    Rgds
    Rajendra

  • Creation of EDI 820 for outgoing payments in SAP

    Hi Experts,
    We have a requirement where in we need to create an outgoing  payment file in EDI820 with in SAP.
    We basically need to create specifications in EDI820 format for the bank to print checks and make wires and EFT payments.
    That EDI820 file will be created at the time of Automatic Payment Run(F110).
    Right now our client is sending a flat file to external service provider and they are creating EDI820 files and sending to the banks. Going forward the services of this service provider will be decommissioned and  an EDI820 file is to be generated in SAP and sent to the bank via SWIFT Net.
    Bank has provided us a sample file and file format for EDI820. This file format contains ST, BPR, RMR, REF etc records. There records have different codes and qualifiers.
    As far as we have analyzed, there are no standard SAP programs that can generate flat file in the EDI 820 format. Therefore we are heading towards developing a Z program for creating an EDI820 format.
    We are facing problem in mapping this file with SAP fields. We need to know how exactly we can map this file in SAP so as to create a program to generate EDI820. If anybody has had a similar requirement (for creating outbound EDI820 in SAP) and can provide us some lead, it will be greatly helpful for us.
    Thanks in advance for the help!

    Have you worked on this requirement?
    Could you please provide step by step instructions to configure and the high level process?

  • Creation of EDI 820 fromat for outgoing payments in SAP

    Hi Experts,
    We have a requirement where in we need to create an outgoing  payment file in EDI820 with in SAP.
    We basically need to create specifications in EDI820 format for the bank to print checks and make wires and EFT payments.
    That EDI820 file will be created at the time of Automatic Payment Run(F110).
    Right now our client is sending a flat file to external service provider and they are creating EDI820 files and sending to the banks. Going forward the services of this service provider will be decommissioned and  an EDI820 file is to be generated in SAP and sent to the bank via SWIFT Net.
    Bank has provided us a sample file and file format for EDI820. This file format contains ST, BPR, RMR, REF etc records. There records have different codes and qualifiers.
    As far as we have analyzed, there are no standard SAP programs that can generate flat file in the EDI 820 format. Therefore we are heading towards developing a Z program for creating an EDI820 format.
    We are facing problem in mapping this file with SAP fields. We need to know how exactly we can map this file in SAP so as to create a program to generate EDI820. If anybody has had a similar requirement (for creating outbound EDI820 in SAP) and can provide us some lead, it will be greatly helpful for us.
    Thanks in advance for the help!

    The program that sends the flat file should give you all the necessary fields, selection criteria, etc.  If the third-party constructs EDI820 from it, then there is enough data in that file for you to add steps to create an 820. 
    So, I'd start with the existing program, a particular outbound file and a copy of the 820 file created from it (if that can be obtained) and figure out how the intermediary converted the data to the correct format.  Piece of cake, right?

  • Outgoing Payment - Payment Means - Check No becomes ZERO

    Hi All Experts,
    When I am adding outgoing payment, I am facing problem i.e. after selecting Check No in reference on outgoing payment, then i am going to enter payment means. I checked Manual then enter check no in check no column, then get amount by pressing ctrl + B and click ok and back to outgoing payment. After that i press Add. When i review the ledger, the check no is missing. It is not showing in Ref.3.
    Can any body help me in this reagards.
    With Warm Regards,
    Chintesh Soni

    Thanks Shridharan for response,
    I am working with SAP Business ONE 2005 B PL 25.
    Have you checked in same ?
    If yes, and there is no problem, then how do i get the PL 38 ?
    I am working as System Support Exe. as end user.
    Pl Help..!!
    With Warm Regards,
    Chintesh Soni
    sonichintesh on msngr yahoo
    sonichintesh at  yahoo co in

  • Different no range/doc. type for cash journal incoming/outgoing payment

    Hi all,
    I am going to set up cash journal for a customer and they want separate number range for incoming and outgoing payments.
    I have read on this forum and actually don´t understand if that´s possible.
    If I set up two different cash journals (one for outgoing payments and one for incoming payments) the problem is that I can call all transaction type (C, B, R, E, set in transaction FBCJC2) from both. I have a cash journal for outgoing payments where I have set a separate document type and number range for G/L accounts in transaction FBCJC0 and the same for vendor outgoing payment and customer outgoing payment, but no document type for incoming payments from vendor/customer.
    When I then start to use this cash journal for outgoing payments I can´t make outgoing payments if I don´t have any money in my cash journal. Then I have to take money from my housebank by business transaction type C (receipt from bank) set in transaction FBCJC2. This becomes an incoming payment, but I got the same number range as for outgoing payments because I am in that cash journal and that number range is set per G/L account transaction per cash journal. .
    How can I come around this problem?
    Thanks in advance!
    Best regards Lisa

    Hi Pravin,
    Sorry for late answer. I created three document types, one for customer, one for vendor and a third for G/L postings. It was not possible to do in another way, sorry.
    Best regards Lisa

  • Outgoing Payment Remarks

    Good Evening!
    I want to have a formatted search in the remarks of the outgoing payment to be the Invoice Document Number + the remarks of the invoice being paid (both if outgoing payment is charged to customer and vendor)
    Example
    Outgoing payment is 40,000 as payment for:
    PV20090701        Replenishment of petty cash fund           10000
    PV20090701        Office supplies                                         30000
    What i want is for the remarks to be
    PV20090701 ,Replenishment of petty cash fund  ; PV20090701,Office supplies
    What will my formatted search be in order to come up with this result.
    Thanks.

    hello
    do one thing  in the remarks of outgoing payments u give  the formatted search query as'' SELECT  T0.[DocNum] ,T0.[Comments] FROM OPCH T0  INNER JOIN PCH1 T1 ON T0.DocEntry = T1.DocEntry WHERE T0.[DocNum] =[%0]'' and u can select for a particular invoice now u can find the remaks forparticular invioce if the problem is solved pls close the thread
    regards
    jenny

  • Outgoing payment with Payment Wizard with Bank Transfer

    Hello to everyone !!!
    I'm Configuring a Company who want to use the 'Payment Wizard' to make Outgoing Bank Transfers payments with it.
    I did the configuration in 'Payment Methods' of Outgoing Bank Transfers, where I chose a File Format from the list (Even I don't know which one should I choose) and I also chose de 'House bank', bank and account where the Outgoing Bank Transfers will come.
    At the time when I did the payment wizard it suggest me to make an outgoing payment of my due A/P invoice very well. The problem is in the next step (STEP 7) when i run the execution and in STEP 8 it says:
    0 Payments were added
    0 Bank transfers were added
    So, It did not make any bank transfer Transaction!!!! =S
    Someone knows what i'm missing from the configuration???
    Someone knows if this is a bug??
    Thanks for your Help!!!!

    Hi Karina,
    please see the info from SAP Note 725786. The note is currently being updated with the new information relating to system behaviour in version 2007  & should be released again shortly:
    In order for the payment wizard and subsequently the payment engine to
    work properly, SAP Business One must be defined correctly as follows:
    1. Define the House Bank:
    a) Administration -> Setup -> Banking -> House Bank Accounts - Setup.
    b) Choose the Bank Code, Country and Account Number.
    c) If the business partner bank is a postoffice bank, tick the Post Office box.
    d) Update the window.
    e) Enter into the House Bank Account Setup winod again and enter the Branch and the account number of the corresponding G/L Account.
    f) Update the window.
    2. Define Business Partner bank:
    a) Administration -> Setup -> Banking -> Banks.
    b) Choose the Country Code, Bank Code and Bank Name, if necessary Swift number.
    c) If the business partner bank is a postoffice bank, tick the Post Office box.
    d) Update the window.
    3. Define Payment Methods:
    a) Administration -> Setup -> Banking -> Payment Methods.
    b) Enter the Payment Method Code, Description and the Transaction Type.
    c) Select the Payment Type and the Payment Means.
    d) In "File Format" choose the correct plug-in for the transaction (refer to the Payment Engine Online Help for the correct plug-in for the transaction you have defined).
    e) Select your House Bank for this particular payment method.
    f) Select the validation options and remember to tick Post Office Bank, if the bank is a Post Office Bank.
    g) If the outgoing payment is by cheque, restrictions can also be defined here.
    h) Add or update the window.
    4. Set up a Business Partner for the payment wizard:
    a) Business Partner -> Business Partner Master Data.
    b) Under the "Payment Terms" tab, enter the bank country.
    c) Enter the account number and the branch, update to return to Business Partner Master Data.
    d) Under the Tab "Payment system" tab, tick the desired Payment Method to include it in a payment run.
    e) Under the Tab "Payment system", select the house bank that was defined for the desired payment method used for transactions with this business partner.
    f) Update the window.
    5. Generate invoices for this business partner.
    6. Define the standards for the payment run:
    a) Banking -> Payment System -> Define Payment Run Defaults (In 2007 A version the path is: Administration -> Setup -> Banking -> Payment Run Defaults).
    b) Define tolerance days, cash discounts etc as needed.
    c) Define minimum and  maximum payments if necessary.
    d) Tick the box beside "Payment Methods".
    e) Click on the radiobutton beside "Payment Methods" and select the payment method(s) to be executed in this payment run by putting a tick in the tick box.
    f) Update the window.
    7. Open the Payment Wizard (Banking -> Payment System -> Payment Wizard).
    a) Select a new payment run - Step 1.
    b) Click on "Next" and define the Payment Run Name and the Posting Date, the payment type and the payment means - Step 2.
    c) Click on "Next" and select the business partners to be included in this payment run, make sure that the tick box for the relevant Business Partner Name is ticked - Step 3.
    d) Click on "Next" and define the document parameters - Step 4.
    e) Click on "Next" and select the payment method this payment run is applied to by ticking the box to the left of the payment method code - Step 5.
    f) Click on "Next" and tick the payment number for the business partner to be included, individual invoices can be selected by clicking on the "Expand All" button and either selected or deselected. This also applies to Credit Memos (and to manual Journal ENtries in 2007 A). Click on "Non-included Trans." to identify any troublesome transactions - Step 6.
    g) Select to either "Save the selection criteria", or "Mark as recommended" to process at a later point in time or select to "Execute" immediately - Step 7.
    h) In Step 8, you are given the Payments Run Summary.
    i) If you selected to execute the payment run, in Step 9 the Document and Report Printing options will be displayed. To generate the bankfile and any associated documents relevant to your localisation, click on the radiobutton "Bankfile".
    j) A "Browse for Folder" window will pop up where the destination directory of the output files must be selected. Once a folder was selected and "OK" was clicked, the payment engine will take the data out of Business One and create the defined files.
    k) Once the procedure has completed, an information system message will be displayed: Payment Engine run was successful"
    8. Go to the destination folder and check the logfile and the bank file(s).
    All the best,
    kerstin

  • Outgoing Payment Generates Negative Docentry

    After creating New  financial year ,Outgoing Payment Docentry generated is Negative.
    What could be the problem for negative Docentry generation.

    Hi,
    As per Mr.Jitin's  reply, if any overlapping, document entry will be in negative.
    Why DOCENTRY is not continuing from last years no. like other documents like OINV?
    If you change document numbering, new document entries will be created.
    why docentry filed is not there in VPM1 & RCT1  like INV1 & others?
    Because incoming payment (ORCT) table is common to check, invoice, account, vouchers. These tables are linked with document number.
    ORCT.docentry = RCT1.Docnumber
    Hope you understand.
    Thanks & Regards,
    Nagarajan

  • F-53 Post outgoing payment- help

    When a user tries to post and manual outgoing payment using F-53 for a vendor he is getting a warning message “No open items were found” however there are open items for that vendor which are due for payment. I looked into the data he is entering on the selection screen of the F-53 transaction and can’t see any mistake on his end. I tried the same F-53 for the same vendor in quality system and it is working me and as well as for him (with his user ID). Can anyone tell me what could be the cause for the above problem? Is there anything with security access? Or customization of manual outgoing payments? Your help is highly appreciated and awarded with points.
    Thanks,
    Kumar

    Hi,
    Whether it is automatic payment program or individual manual payment, open items should be displayed and no specific configuration required for F-53.
    I suggest to check in the first screen, whether any additional selections radio button is selected. If you select "NONE", all open items should be selected. Further, check whether the standard open items check box is selected. If this check box is not selected no open items will be displayed.
    Thanks
    Murali.

  • Post outgoing payment : Process open Items

    Hi Experts,
    We are using transaction F-53 Through Autometic payment Programme
    when process open items appears to choose the amount a information message appeares
    i.e."1 items have not been activated due to inconsistent withholding tax info"
    kindly suggest how can it rectified this problem for post this outgoing payment.
    this very urgent
    Thanks & regards
    Kuldeep Dubey

    Plz run the report RFWT0010 for the affected vendors.
    I suggest better run this report as & when required.
    Run in UPDATE mode & try again. This will work.
    Plz lemme know if the problem persists.
    regards

  • Not able to add outgoing payment for vendor

    Hi to all Experts,
    I am facing problem i.e I am not able to add outgoing payment for Vendor. I have tried to multipul time using different users also. I have booked purchase first and then tried to make payment to the vendor.Docdate is 14th Jul 08, and docdue date is 18th Aug. 08.
    I have made two entries for outgoing payment using G/L A/c. option before trying to do this entry successfully.
    Can any body plz help me to resolve this issue.
    Warm Regards,
    Chintesh Soni

    Hello Chintesh,
    The scenario seems to be similar to the one described in Note 1027043.
    Here is the text from the Note:
    "You are trying to add the an Outgoing Payment for an A/P Invoice or A/P Credit Memo using Checks as Payment Means. However, after pressing the 'Add' button, the payment is not added and the system does not send an error message."
    This issue occurs when the Vendor Ref. No. field in the A/P invoice or the A/P credit memo has more than 39 characters.
    It is an application error that is fixed in PL26, 2005B (Note 1073858). Kindly upgrade to the latest patch. If not possible at the moment, you can use the workaround provided in the Note.
    I hope this helps.
    Regards,
    Lorna Real

Maybe you are looking for

  • Upgrade Forms 4.5 to 6i or 9i?

    Hi All, I wish to know if it is possible to move to forms 9i from 4.5. We are using Oracle 8i and we think to move on 9i but not soon. Should we upgrade to forms 6i before moving on forms 9i? Many Thanks Marco

  • How to determine the connection string to a SQLite database, in C# code

    Hello. I'm trying to figure out how to specify the connection string to a SQLite database, I would like to access using the following code: string connectionString = null; SqlConnection connection; SqlCommand command; SqlDataAdapter adapter = new Sql

  • How to open a PDF file using forms 9i

    Hi guys!!! Could you please help me with this? Using the webutil library, i've found the function FILE_OPEN_DIALOG which yes, it is like windows' dialog box, but it doesn't open the specific file. If i have the PDF software, and a pdf file, and i use

  • Dell Dimesnion 4600 Power Supply Help

    I have an older Dell Dimension 4600 purchased from Best Buy. The power supply cord for the motherboard (20 pin) has the pin reversal where wires are in the opposite direction than usual. Is there to use an adapter or some other method to convert this

  • SAP ECC 6.0 Performance issue

    Gentlemen, Please advise me with the following scenario, which is Iu2019m facing a problem with system performance, My system configuration is:      SAP ECC 6.0 , Oracle 10.2.0.2.0 , Kernel Patch number : 202 , DBSL Patch No. : 046 Server Configurati