Payment Advice with PMW & DTAUS0

Hi
We have a payment method which is using PMW. DTAUS0 is the format being used for this particular payment method.
We would like to generate a payment advice only if 6 invoices are paid together.
Do we really have to copy DTAUS0 and  reduce the number of text fields for reference information to 6 or is there any other solution available.
Thanks & Regards
Kisaan

Hi,
There are 2 solutions for your problem.
1) For making group payments for perticular vendor. you have to deselect "individual Pmnt" button in vendot master at company code level.
2) Or you can select 6 invoicesses document numbers  in "free selection " tab in F110.so it will make payment to that 6 inivoicesses.
your proble get resolved.
Regards,
Ravindranathareddy

Similar Messages

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    Hi Gurus,
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    In Automatic payment program configuration(FBZP).
    A. PAYING COMPANY CODES-
    Payment advise form
    B.Payment Methods in Commpany codes-
    form for the payment  transfer medium.
    above two steps , you maintain the same for
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    Hi,
    Good morning and greetings,
    Please go through the following link
    http://help.sap.com/saphelp_erp2005vp/helpdata/en/70/42753ced012a49e10000000a11402f/frameset.htm
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    Note 395679 - PMW: Overview of available formats
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  • Generating Payment advice using PMW

    Sappers,
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    Hello Ram,
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  • Vendor Payment Advice with Manual Check Creation

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    Hi Satya
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  • Vendor payment advice with down payment

    Hi,
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    Hi Ravi,
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  • Remittance Advice with PMW (AU_BECS_B & MT013)

    Hi Friends,
    We are deploying BCM for our client. In the process we are migrating from Classic Payment Medium to Payment Medium using PMW (AU_BECS_B)
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    Hi,
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  • How to create payment advice using PMW

    Dear experts,
    could you please help me with the following problem. The client uses payment medium format, for which following parameters are defined:
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    format tree - not defined
    event function modules - not defined
    text field for reference information - not defined
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    Thanks in advance for your help
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    Hi Alina,
    Please refer to note 1224437.
    "When the payment medium is created, a decision is made in accordance with the above rules as to whether a payment advice note is necessary, and the result is retained for the field XAVIS in the table REGUH (REGUH-XAVIS = 'X').   The report RFFOAVIS_FPAYM evaluates this result.
    The number of required payment advice lines is usually produced from the
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    After correcting your customizing, it should work.
    Best Regards,
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  • Posting customer payment advice with discount

    Hello - We are posting a customer payment advice that contains a cash discount that is outside the payment terms.  However we still want to accept the discount.  But when we pocess the payment advice via F-28 the discount is not taken from the payment advice (i.e. the discount field is blank) when we process the open items.  Any ideas on how we can populate the discount amount when processing the open item?
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    So you want discount to be automatically populated when the open item is eligibile for discount?
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  • Payment Advice with Check

    Sap Gurus,
    I need support on this issue.
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    Edited by: tejas_ahuja on Aug 28, 2010 7:21 AM

    In F-58, you have the Payment Advise printing option.  You can make use of that.
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  • 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).
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    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.
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    Najam
    I am attaching the part of code i have inserted -
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       F110ID-LAUFD   = ZW_LAUFD.
       F110ID-LAUFI   = ZW_LAUFI.
       F110ID-OBJKT   = KON_PARAM.
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      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'
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        INPUT         = W_LIFNR
    IMPORTING
       OUTPUT        = W_LIFNR .
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    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.
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    CLEAR RECLIST.
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    CLEAR LISTOBJECT.
    CLEAR TAB_LINES.
    CLEAR DOC_SIZE.
    CLEAR ATT_TYPE.
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    DOCDATA-OBJ_DESCR = OBJDESC.
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    RECLIST-RECEIVER = PRECEIVER.
    RECLIST-REC_TYPE = PREC_TYPE.
    APPEND RECLIST.
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    FILE_NAME = LTP_FILENAME.
    CALL FUNCTION 'GUI_UPLOAD'
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      FILENAME = FILE_NAME
      FILETYPE = 'BIN'
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      DATA_TAB = I_ITAB
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      FILE_READ_ERROR = 2
      NO_BATCH = 3
      GUI_REFUSE_FILETRANSFER = 4
      INVALID_TYPE = 5
      NO_AUTHORITY = 6
      UNKNOWN_ERROR = 7
      BAD_DATA_FORMAT = 8
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      SEPARATOR_NOT_ALLOWED = 10
      HEADER_TOO_LONG = 11
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    INVALID_EXTENSION = 2
    INVALID_NAME = 3
    INVALID_PATH = 4
    OTHERS = 5.
    ENDFORM.                    " upl
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    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.
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    CLEAR: OUTBIN, LEN.
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    ENDIF.
    ENDFORM.                    " doconv
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    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

  • 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

  • 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

  • F110- Payment advices for vendor - SAP standard solution

    Hello all,
    I would like to generate Payment advices via Idoc to the vendor in a standard way ( no ABAP), can I use the program RFFOUS_C ( assigned in Payment method company code ) and generate the idoc payment advices via RFFOAVIS?
    I canu2019t create the payment advices with the above programs, here what I have done so far
    1) Vendor master checked with the EDI flag
    2) FBZP is configured, assigned the RFFOUS_C
    3) Variant setup for RFFOAVIS
    4) Payment posted correctly but in the output its is saying " No row selected"
    We are using classic payment medium.
    Thanks in advance for your help

    Have you created right variant in your parameters in F110. Otherwise, no advice will be created.
    have you checked your FBZP settings, you must allow the generation of payment advice.
    Are you looking into SP02 for payment advice.

  • 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

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