Payment Advice information

Hi experts
i am trying to print payment advice(Using Script) .its working fine but its not pulling the data.please help me .this is the code i am using .i want to use hardcode but they got different names.
<S>Our accounting clerk</>
&FSABE-SALUT' '&&FSABE-LNAME&
  <S>Telephone</>
  &FSABE-TELF1&&' - 'FSABE-TEL_EXTEN1&
  <S>Fax</>
  &FSABE-TELFX&&' - 'FSABE-FAX_EXTENS&

Hi,
Pls check the table REGUH for accounting Accounting clerk.. Field BUSAB.. and pls check if there is any fields for telephone and fax.. Bcz in my system i have two field for both as :
ZTELF     data element TELFN_Z (Payee telephone number)
ZTLFX     Data element TELFX_Z (Payee's telefax number)
and for your reference Check the forms F110_PRENUM_CHCK and F110_US_AVIS
Hope it will help you..
Regards,
Lokesh..
Edited by: Lokesh Tarey on Apr 29, 2010 3:08 PM

Similar Messages

  • Payment Advice issue in T-Code: FEBA

    Hi ,
    Many of our deposits in FEBA are now showing up with a payment advice.  These payment advices are completely unrelated to the deposit.  This has been happening for approximately a week.  The items can still be posted, however all the unrelated payment advice information must be deleted from the posting screen.
    Thanks....

    Hi,
    maybe there is an authorization problem, tick the "info" button in the "administrator" screen there is an authorization object mentioned.
    In the SAP-systems I know the column is set to "invisible" so it must be changeable (as it is in your system set to "visible").
    best regards, Christian

  • Payment advice printing X's for Vendor related information

    Dear experts,
    We are implementing check printing from SAP. I have done the necessary configuration. The program RFFOUS_C does generate the check as well as payment advice. The check looks good.
    However, on the payment advice I am getting 'X''s for vendor related information. For e.g. Vendor Name, address, the related line items of the vendor which are being paid.
    I tried various ways to fix it but it is not making sense still. It always give me those X's. Has anyone experience this in the past? Any lead into a solution is welcome.
    Thank you very much,
    Vishal Thakur.

    answer

  • Enable or disable payment advice to vendor

    Hi
    Is it possible to enable or disable the payment advice on vendor master data level?
    We would like to control the distribution of payment advice on vendor level and not in the variant of the program RFFOEDI1.
    Best regards
    Birgit

    Hi Gaurav
    Good point. Unfortunately I am not allowed to remove email nor fax since we also use the information for other correspondence.
    If fax or email is present on vendor master data we send by email/fax through SOST. If not, the print is send in a pdf file to an external partner for printing and distribution. I don't think there is a possibility to sort out parts of the files in this proces.
    Best regards
    Birgit

  • Vendor Payment Advice - idoc PEXR2002

    Dear guru,
    My customer would like to receive a payment advice from the bank regarding the vendor payments done.
    It means that after processing the F110 and sent the payments to the bank, we will receive an acknowledgement idoc from the bank in order to inform us that all payments have been correctly processed.
    I have seen that the idoc PEXR2002 can be used as "payment advice" with message type REMADV for instance. But all the cases that i have seen concerned customer payment advices sent directly by them.
    Is anyone know if it is possible to use this idoc in order to retrieve the payment information for vendor and not customer?
    If yes, where can we retrieve those information in SAP? Besides the table AVIK/AVIP, can we check the payment advice integration somewhere else (reports, financial document)? because in our case we just want to retrieve the confirmation of payments but there wont be clearing between payment/vendor invoice because it will have been already done at F110 processing.
    I hope this is clear enough.
    Thanks a lot for you help
    Guillaume

    Hi Afzal,
    For sending Payment advice by E-Mail, "You need to copy SAMPLE_PROCESS_00002040 and adjust it to write code as per your requirement. This BTE runs for each payment advice note to be sent and in the module, it is mentioned 1=print, 2 = Fax and I=mail, so you can set your priority, that if an E-Mail address is maintained in the vendor master, send mail or if no E-mail address is maintained send Fax, and if both are not possible shoot a Print.
    From Configuration side, you need to maintain the Z copy of SAMPLE_PROCESS_00002040 in FIBF transaction under the Process module of a customer without country or application indicator.    
    SAP Note 836169 - Consulting: Payment advice notes by email or fax.   
    Regards,
    SAPFICO

  • Issue while clearing open items with a payment advice

    I have created a payment advice to clear open items on a customer. As part of testing, I have created 2 items in the payment advice. Both are short payments for the open items.
    In the first line item, I am short paying an open item by entering the reference number. (XBLNR) in AVIP-XBLNR.
    In the second line item, I am short paying an open item by entering the assignment number. ZUONR in AVIP-ZUONR.
    I am using F-28 for my clearing. I have noticed a very strange issue where in the program will place the residual amount in the residual amount column against the appropriate line item for the first item. Where as for the second item, it does recognize the open item and brings it in the clearing screen but does not put the residual amount in the residual amount column. Due to this, the new line item in the clearing document does not have a link to its original line item.
    This has started happening all of a sudden. I am unsure what might have caused this. Please let me know if you need additional information.
    Thanks

    Include - MF05BFO0
    FORM op_pruefen
    Context:
              WHEN 'K'.
               ENHANCEMENT-POINT mf05bfo0_02 SPOTS es_sapmf05b.
    Create an enhancement here and add this code
                   IF SY-TCODE = 'FB1K'.
                         T041A-AUGLV = 'AUSGZAHL'.
                   ENDIF.

  • Line Item Not dispaying in Payment Advice standard report

    Hi Experts,
    I have cleared line items of a vendor by making payment through F-53 and subsequently generated the Print Form spoon request through FBZ5. But in the print, line items (cleared Items) doesn't display in Payment advice report. But for the Fiscal Year 2009 line items (Cleared item) was displaying in the Payment Advice report which is now not displaying.Since it is a standard report no changes made. So please suggest how to achieve it.
    Thanks in Advance,
    Arabinda

    Hello,
    In tr. F-53 you post a payment document,
    but to print a check you need to use some check printing program.
    SAP-delivered program is RFFOUS_C and it processes only
    one bank line per payment document.
    Please check the following general information:
    The standard form (of the print program RFFOUS_C) prints the invoice
    items followed by the check.  If the item details overflow to the next
    page, then the first check (eg cheque no. 1) will be voided and you'll
    get the valid cheque on second page (eg cheque no. 2). This is standard
    functionality.
    Also I would request you to recheck your customising in FBZP i.e.
        -> Click on the 'Payment methods in company code' button
        -> Double click on the appropriate 'Pymt meth.'
           -> Click on the 'Pyt adv. ctrl' button
              ¦ Note to payee lines on the form  /               ¦
              ¦                                                  ¦
              ¦ O  restricted to                       98 Rows   ¦
              ¦ O  None                                          ¦
              ¦ O  as many as req                                ¦
              ¦__________________________________________________¦
    - The first option will restrict the number of lines on the form to a
    value from 1 to a maximum of 98.
    - The second option will restrict the number of lines on the form to
    zero.
    - The third option option will not restrict the number of lines on the
    form.
    You may test in the system which among the three options will suit your
    needs. There is a documentation available at the side of each button.
    Also please check whether the problem happens with the standard SAP
    program. You may wish to review the documentation for RFFOUS_C via
    transaction SE38 -> Enter program name -> Select 'Documentation' radio
    button -> Display -> scroll to 'Setting up and changing the SAPscript
    forms (layout sets)'.
    Also you can refer to the parameter `No form summary section' in the
    variant of RFFOUS_C. By setting this indicator, you can prevent the form
    summary section from being printed hence the overflow is avoided and
    thus eliminates the voided check issue. Please refer to F1 Help of this
    field for further information.
    Also please refer to the F1 help on the indicator "Indicator: Do not
    Void any Checks" in the selection screen of payment program RFFOUS_C.
    I hope this helps.
    BR,
    Raquel

  • Attaching a document along with payment advice during F110

    Hi All,
    when i run F110 all payments with payment mode 'T'(telegraphic) are mailed to the respective vendors and all payments with mode 'K'(Credit) are displayed in the spool(SP01).
    Now the requirement is that the contract of the vendor(contract document is attached in the vendor master-FK02) should also me mailed along with the payment advice.
    I created a Z-program(copied from RFFOEDI1) which downloads this contract document from vendor master onto the desktop and then uploads this and sends it to the customer.
    However when i do this the mail request for the contract document is being generated(as can be seen in the send requests list (t-code SOSG) and the mail also gets triggered when i process it in SCOT), but no mail request is being generated for the payment advice  .
    Also no spool for payment advices with payment mode 'K' is generated in SP01.
    Any help is appreciated and will be rewared generously.
    Thanks in advance.
    Najam
    I am attaching the part of code i have inserted -
    REPORT RFFOEDI1.
    INCLUDE ZDWNLD_ATTA. 
       F110ID-LAUFD   = ZW_LAUFD.
       F110ID-LAUFI   = ZW_LAUFI.
       F110ID-OBJKT   = KON_PARAM.
    PERFORM  F_MAIL_CONTRACT.
      INSERT T012D-EDIPN INTO HEADER.
    AT SELECTION-SCREEN ON PAR_WFOR.
      IF PAR_WFOR NE SPACE.
        SET CURSOR FIELD 'PAR_WFOR'.
        CALL FUNCTION 'FORM_CHECK'
          EXPORTING
            I_PZFOR = PAR_WFOR.
      ENDIF.
    FORM F_MAIL_CONTRACT .
       F110ID-LAUFD   = ZW_LAUFD.
       F110ID-LAUFI   = ZW_LAUFI.
       F110ID-OBJKT   = KON_PARAM.
      IMPORT SLKTAB FROM DATABASE RFDT(FB) ID F110ID.
      READ TABLE SLKTAB INDEX 1.
      IF SY-SUBRC = 0.
        W_LIFNR = SLKTAB-VONKT.
      ENDIF.
    CALL FUNCTION 'CONVERSION_EXIT_ALPHA_INPUT'
      EXPORTING
        INPUT         = W_LIFNR
    IMPORTING
       OUTPUT        = W_LIFNR .
    *Get vendor Email Address
    SELECT SINGLE * FROM LFA1 WHERE LIFNR = W_LIFNR.
    IF SY-SUBRC = 0.
      SELECT SINGLE * FROM ADR6 WHERE ADDRNUMBER = LFA1-ADRNR.
    ENDIF.
    W_RECIPIENT = ADR6-SMTP_ADDR.
    PERFORM DOWNLOAD_ATT USING W_LIFNR.
    PERFORM UPLOAD_ATT_SEND_MAIL USING W_RECIPIENT LTP_FILENAME .
    ENDFORM.                    " F_MAIL_CONTRACT
    FORM DOWNLOAD_ATT  USING    P_W_LIFNR.
    SO_INSTI = P_W_LIFNR.
    SELECT * FROM SRGBTBREL INTO TABLE TA_SRGBTBREL
      WHERE INSTID_A =  SO_INSTI
        AND TYPEID_A = SO_TYPID
        AND CATID_A  = SO_CATID.
    IF SY-SUBRC EQ 0.
       SORT TA_SRGBTBREL BY INSTID_A TYPEID_A CATID_A.
       DELETE ADJACENT DUPLICATES FROM TA_SRGBTBREL
         COMPARING INSTID_A TYPEID_A CATID_A.
       LOOP AT TA_SRGBTBREL INTO WA_SRGBTBREL.
         PERFORM PROCESS_ATTACHMENTS
         USING  WA_SRGBTBREL-INSTID_A
                WA_SRGBTBREL-TYPEID_A
                WA_SRGBTBREL-CATID_A.
       ENDLOOP.
    ENDIF.
    ENDFORM.                    " download_att
    FORM UPLOAD_ATT_SEND_MAIL  USING    P_W_RECIPIENT
                                        P_LTP_FILENAME.
    RECEIVER = P_W_RECIPIENT.
    PERFORM ML_CUSTOMIZE USING 'Tst' 'Contract'.
    PERFORM ML_ADDRECP USING RECEIVER 'U'.
    PERFORM UPL.
    PERFORM DOCONV TABLES I_ITAB OBJBIN.
    PERFORM ML_PREPARE USING 'X' EXTENSION NAME.
    PERFORM ML_DOSEND.
    FORM ML_CUSTOMIZE  USING    OBJNAME
                                OBJDESC.
    CLEAR DOCDATA.
    REFRESH OBJPACK.
    CLEAR OBJPACK.
    REFRESH OBJHEAD.
    REFRESH OBJTXT.
    CLEAR OBJTXT.
    REFRESH OBJBIN.
    CLEAR OBJBIN.
    REFRESH OBJHEX.
    CLEAR OBJHEX.
    REFRESH RECLIST.
    CLEAR RECLIST.
    REFRESH LISTOBJECT.
    CLEAR LISTOBJECT.
    CLEAR TAB_LINES.
    CLEAR DOC_SIZE.
    CLEAR ATT_TYPE.
    DOCDATA-OBJ_NAME = OBJNAME.
    DOCDATA-OBJ_DESCR = OBJDESC.
    ENDFORM.                    " ml_customize
    FORM ML_ADDRECP  USING   PRECEIVER PREC_TYPE.
    CLEAR RECLIST.
    RECLIST-RECEIVER = PRECEIVER.
    RECLIST-REC_TYPE = PREC_TYPE.
    APPEND RECLIST.
    ENDFORM.                    " ml_addrecp
    FORM UPL .
    FILE_NAME = LTP_FILENAME.
    CALL FUNCTION 'GUI_UPLOAD'
    EXPORTING
      FILENAME = FILE_NAME
      FILETYPE = 'BIN'
    TABLES
      DATA_TAB = I_ITAB
    EXCEPTIONS
      FILE_OPEN_ERROR = 1
      FILE_READ_ERROR = 2
      NO_BATCH = 3
      GUI_REFUSE_FILETRANSFER = 4
      INVALID_TYPE = 5
      NO_AUTHORITY = 6
      UNKNOWN_ERROR = 7
      BAD_DATA_FORMAT = 8
      HEADER_NOT_ALLOWED = 9
      SEPARATOR_NOT_ALLOWED = 10
      HEADER_TOO_LONG = 11
      UNKNOWN_DP_ERROR = 12
      ACCESS_DENIED = 13
      DP_OUT_OF_MEMORY = 14
      DISK_FULL = 15
      DP_TIMEOUT = 16
      OTHERS = 17.
    PATH = FILE_NAME.
    CALL FUNCTION 'PC_SPLIT_COMPLETE_FILENAME'
    EXPORTING
    COMPLETE_FILENAME = PATH
    IMPORTING
    EXTENSION = EXTENSION
    NAME = NAME
    EXCEPTIONS
    INVALID_DRIVE = 1
    INVALID_EXTENSION = 2
    INVALID_NAME = 3
    INVALID_PATH = 4
    OTHERS = 5.
    ENDFORM.                    " upl
    FORM DOCONV TABLES MYPDF STRUCTURE TLINE
                       OUTBIN STRUCTURE SOLISTI1.
    DATA : POS TYPE I.
    DATA : LEN TYPE I.
    LOOP AT MYPDF.
    POS = 255 - LEN.
    IF POS > 134. "length of pdf_table
    POS = 134.
    ENDIF.
    OUTBIN+LEN = MYPDF(POS).
    LEN = LEN + POS.
    IF LEN = 255. "length of out (contents_bin)
    APPEND OUTBIN.
    CLEAR: OUTBIN, LEN.
    IF POS < 134.
    OUTBIN = MYPDF+POS.
    LEN = 134 - POS.
    ENDIF.
    ENDIF.
    ENDLOOP.
    IF LEN > 0.
    APPEND OUTBIN.
    ENDIF.
    ENDFORM.                    " doconv
    *&      Form  ml_prepare
          text
    FORM ML_PREPARE USING BYPASSMEMORY WHATATT_TYPE WHATNAME.
    IF BYPASSMEMORY = ''.
    CALL FUNCTION 'LIST_FROM_MEMORY'
    TABLES
    LISTOBJECT = LISTOBJECT
    EXCEPTIONS
    OTHERS = 1.
    IF SY-SUBRC EQ 0.
    MESSAGE ID '61' TYPE 'E' NUMBER '731'
    WITH 'LIST_FROM_MEMORY'.
    ENDIF.
    CALL FUNCTION 'TABLE_COMPRESS'
    TABLES
    IN = LISTOBJECT
    OUT = OBJBIN
    EXCEPTIONS
    OTHERS = 1
    IF SY-SUBRC EQ 0.
    MESSAGE ID '61' TYPE 'E' NUMBER '731'
    WITH 'TABLE_COMPRESS'.
    ENDIF.
    ENDIF.
    *Packing Info For Text Data
    DESCRIBE TABLE OBJTXT LINES TAB_LINES.
    READ TABLE OBJTXT INDEX TAB_LINES.
    DOCDATA-DOC_SIZE = ( TAB_LINES - 1 ) * 255 + STRLEN( OBJTXT ).
    CLEAR OBJPACK-TRANSF_BIN.
    OBJPACK-HEAD_START = 1.
    OBJPACK-HEAD_NUM = 0.
    OBJPACK-BODY_START = 1.
    OBJPACK-BODY_NUM = TAB_LINES.
    OBJPACK-DOC_TYPE = 'TXT'.
    APPEND OBJPACK.
    *Packing Info Attachment
    ATT_TYPE = WHATATT_TYPE..
    DESCRIBE TABLE OBJBIN LINES TAB_LINES.
    READ TABLE OBJBIN INDEX TAB_LINES.
    OBJPACK-DOC_SIZE = ( TAB_LINES - 1 ) * 255 + STRLEN( OBJBIN ).
    OBJPACK-TRANSF_BIN = 'X'.
    OBJPACK-HEAD_START = 1.
    OBJPACK-HEAD_NUM = 0.
    OBJPACK-BODY_START = 1.
    OBJPACK-BODY_NUM = TAB_LINES.
    OBJPACK-DOC_TYPE = ATT_TYPE.
    OBJPACK-OBJ_NAME = 'ATTACHMENT'.
    OBJPACK-OBJ_DESCR = WHATNAME.
    APPEND OBJPACK.
    ENDFORM.                    " ml_prepare
    *&      Form  ml_dosend
          text
    -->  p1        text
    <--  p2        text
    FORM ML_DOSEND .
    CALL FUNCTION 'SO_NEW_DOCUMENT_ATT_SEND_API1'
    EXPORTING
      DOCUMENT_DATA = DOCDATA
      PUT_IN_OUTBOX = 'X'
      COMMIT_WORK = 'X' "used from rel. 6.10
    TABLES
      PACKING_LIST = OBJPACK
      OBJECT_HEADER = OBJHEAD
      CONTENTS_BIN = OBJBIN
      CONTENTS_TXT = OBJTXT
      RECEIVERS = RECLIST
    EXCEPTIONS
      TOO_MANY_RECEIVERS = 1
      DOCUMENT_NOT_SENT = 2
      DOCUMENT_TYPE_NOT_EXIST = 3
      OPERATION_NO_AUTHORIZATION = 4
      PARAMETER_ERROR = 5
      X_ERROR = 6
      ENQUEUE_ERROR = 7
      OTHERS = 8
    *IF SY-SUBRC EQ 0.
    *MESSAGE ID 'SO' TYPE 'S' NUMBER '023'
    *WITH DOCDATA-OBJ_NAME.
    *ENDIF.
    ENDFORM.                    " ml_dosend

    Hi,
    As far as I remember there are no direct ways in SAP do to that.
    One suggestion. Create a custom program to send emails and save it with a variant in DME (the last Tab in F110). This is the same place where you maintain the details for sending out the EDI information.
    Once you are done with F110, you can carry out the print functionality to execute the program to send out emails with the payment advice.
    hope this helps.
    Regards

  • Payment Advice needs to be send as mail to Vendor through SAP.

    Hi,
    There is a requirement in my businees related to payment advice mail. After running T-Code: F110, spool getting generated with all the payment advice (lets say 20 advice at a time for different vendor). now we want to mail each advice to respective mail through SAP itself. Could you please provide me some idea through which i can achieve this functionality.
    Thank you,
    Manya.

    Please search SDN, you will find all the information already existing on this feature, e.g.:-
    [F110 payment advice by e-mail;
    Basically BTE event 2040 and 2050 is used for it.
    Regards,
    Gaurav

  • How to seperate vendor payment advice form/customer payment advice form?

    Hi all,
    i was wondering if you could create a seperate payment advice form for
    vendors
    and
    customers.
    I used transaction code SE71 to visualize forms. Examples of payment forms for each company code can be found in customization "allocate forms to paying company code".
    The challenge that you will have to take is to seperate the payment advice for vendors and the payment advice for customers.
    Is that possible in SAP? Or is the payment advice for vendors automatically the same for customers?
    What i want to make is the following:
    - payment advice for vendors
    - payment advice for customers
    (So i can make changes in accounting clerk, addres, etc...)
    Thanks in advance.
    Pamela.

    Hello Pamela,
    Payment Advice is normally unique for each Payment Method/Company Code.
    If a special treatment is required to differentiate between Customers & Vendors (Example - Special information, layout difference, special details) in the Payment Advice, you can always handle it with in the same SAP Script Form that you configure for the Payment Method/Company Code.
    Either the field KOART (Account Type) in REGUP enables you to differentiate between Customers & Vendors. Please let me know if you need some examples.
    Hope this info answers your question. Please reward.
    With Regards
    Vijay Gajavalli

  • Idoc for customer payment advice

    Hi all,
    We receive Idoc for payment advice from customer. Can some body tell me how can I read this information to match the invoice.I mean how can I map Idoc field to SAP internal tables.
    How do I know which Idoc field will hit which SAP table & which table.
    So please guide me about Idoc mapping & finding appropriate field for inbound idocs.
    Edited by: Nik Wallace on Aug 5, 2008 8:04 AM

    Hello,
    Customer of vendor payment advice is the advice informing the customer that the amount has been paid against which invoices.
    You need to configure the payment advice in FBZP or give them as part of variant in F110.
    When you run the automatic payment program, based on the FBZP settings, a payment advice gets triggered.
    You are able to see your payment advice in SP02. To generate payment advice correctly, please make sure your settings in Variant (F110) are correct. Any invalid entries will result in NO generation of payment advice.
    Hope this is useful to you.
    Regards,
    Ravi

  • Standard Report for Payment Advice Created

    Hi,
    Is there any standard report for list of payment advice created.
    Thanks

    Hi:
    T.code FF-8    Payment Advice Journal
    T.code FF.7    Payment Advice Comparison
    Please let me know if you need more information
    Assign points if useful.
    Regards
    Sridhar M

  • Clearing Payment Advices

    Hi
    In SAP when we are creating a credit memo it allows you to assign this credit to a debit.
    Once its assigned it created a payment advice with this credit and debit information.
    I know how to clear this manually. I use FB05 and enter the payment advice info and its cleared.
    But is there any way I can automate the process.
    This is not an incoming EDI 820 or any payment. This is just a payment advice created by a credit and  debit entry.
    Can I use the program RFAVIS40 to clear these? If so how should I define the posting rules.
    Thanks

    Hi,
    You can do it via OB74 and F.13
    Rest (uncleared) can be processed via program RFAVIS40.
    Regards,
    Gaurav

  • Electronic bank statement with CTX payment advice

    Hi:
    I'm trying to figure out how I can process an electronic bank statement that contains the payment advice embedded as a CTX addendum. I'm finding info how to issue an ACH and add the CTX addendi. But how can I process it when that info comes back from the bank on the electronic bank statement and I'm on the receiving end of that transaction?
    Of course I'm looking to clear the corresponding customer open items along the provided payment advice info.
    I do see an interpretation algorithm 032, which will look at a payment advice that has already been received prior to the bank statement. That's close, but not quite it.
    Maybe the answer is 'functionality not available in SAP standard' and that will be just fine. I've got the list of all the various enhancement points for the process and if that's the route I need to take, I'll be on my merry enhancing way...
    Any pointers highly welcome!
    Thanks
    Stephen

    Hello,
    From FF.5, if you are using interpretation algorithms 11, 12 or 13,
    the check encashment date ( PAYR-BANCD ) will be updated in PAYR when
    the check is neither voided nor cashed. The relevant code is as under
    RFEBBU10. Source Code :
    CASE FEBEP-INTAG.
          WHEN '000'.                 <- A when for every Int. Algorithm
          WHEN '011'.
                PERFORM SEARCH_CHECK_IN_PAYR.
    FORM SEARCH_CHECK_IN_PAYR.
      check is not voided nor cashed
        SELECT SINGLE * FROM BKPF WHERE BUKRS = FEBKO-BUKRS
                                    AND BELNR = PAYR-VBLNR
                                    AND GJAHR = PAYR-GJAHR.
        IF SY-SUBRC = 0.
          PAYR-XBANC = 'X'.
          PAYR-BANCD = FEBEP-VALUT.
      So, the field PAYR-BANC is always updated with FEBEP-VALUT
      (Value Date) and there is no standard way to avoid it.
    If the check number in the statement is wrong, then the interpretation
    algorithm could not update the encashment date. The interpretation
    algorithm run only when the electronic bank statement is loaded
    (hence only once) and not when FEBA is processed.
    In FEBA (SAPMF40A), there is no further update in PAYR, and hence you
    need to go to the Cheque Register and change the date manually in this case.
    Check Note 115147 for further information.
    Regards,
    REnan

  • Issue Related to Cash Discount in Payment Advice.

    Hi All,
    In my Company, We are printing the payment Advice with tranasction FBZ5 by passing the payment document number, company code and fiscal year.
    Advice is having different line items for various bills which includes different heads for Gross Amount, TDS, WCT, Cash Discount & LD.
    For each bill there is different TDS, WCT as the rates are configured already at the time of billing. but once we going to pay the vondor then at time cash discount is entering for separate bill. Now once we are viewing the payment advice all the line items are populating properly but all the cash discount amounts for different bills are being accumulated and printing in single line item but we want that the cash discount amount should also come separately for separate bill like TDS & WCT.
    How I can achieve this requirement.
    Thanks & Regards,
    Rajeev.
    Edited by: Rajeev Shrivastava on Jun 28, 2011 10:27 AM

    you do assign payment terms in customer master and it automatically copied in to sales order. After billing if the customer paid the amount with in 7 days then it automatically calculates the discount while entering the incoming payments of customer in F-28 fi people get the information and they settle the account according to payment terms
    While defining payment terms u give the date should be document data or posting date etc according to that system will pick the discount to be given and calculates the date
    reward points if it helps

Maybe you are looking for

  • Transfer from a dead blackberry!

    Is there a way I can transfer at least my contacts from an old dead Blackberry Bold onto my new Z10. My old phone completely stopped working which is why I upgraded to the new one but now I can't get any of my old info. I can't turn my old BB on and

  • Paid for Premium - but still on free mode

    I paid for premium for last 6 months - I even checked account for receipt. its there.none of my devices or computers will work premium 0 still on free mode.Help me please.

  • Returnable Packaging - Handling ASN's for their return delivery

    Two of our customers are sending us ASN's when they ship the empty returnable containers back to us.  Unfortunately, the ASN IDoc's Red-Light because there is no MM Order for them. The normal process is working - when the truck arrives, we process a

  • Disappearing Layers? It's magic.

    Hello All, I have a question/problem. I am creating a presentation in Flash and I have hit a wall. I am attempting an altered text effect, like Wargames. I have imported the text letters individually in png format. I have spaced them and they should

  • Human task jsp customizatioın problem...

    We customize human task jsp and add some field. We want assign a calculation result to a task variable... autogenerated HTML inbup box name is slns0_cl_task_sl_ns0_cl_payload_sl_ns1_cl_bim_Myprocessname_myparametername.. is it possible to assign a va