Payment block with spl gl indicator wise

Hi Experts
after down payment request,
that payment should block for payment,
for this where can we do settings.
regards
venkat

Hi
Payment Request is a noted item and when you do automatic payment programme it will be picked up for payment.
Moreover when you create Down Payment Request itself, you have the option of entering payment block for that particular request.
Regards,
K Lakshmanan

Similar Messages

  • :Due On" date field missing while posting with Spl GL indicator for vendor

    Hello,
    I am facing a problen while posting a n entry with spl GL indicator in fb01, the issue is Due On date field is missing in the screen.
    I am posting an spl GL transaction for a vendor thro FB01 and after entering the posting key 39, vendor code and spl Gl indicator in line item and in next screen, the "Due ON" date field is not appearing.
    Both vendor recon account and spl GL alternative account use same field status group and  checked the field status group , the due date, payments terms are made optional.
    The strange thing is, when I use the same vendor with Spl GL indicator "A" , the Due ON field is missing in next screen, and when I use spl indicator " B" , for same vendor, Due On date field is appearing.
    Is there any specfic field status setting for DUE ON date field for Spl GL indicator wise? or please help me how to bring due on date field in the screen when posting spl GL transaction?
    Please help me on this.
    Regards
    Surya

    Hello Surya,
    To make field baseline date for payment (BSEG-ZFBDT) ready for input for
    posting the down payment, the following Customizing setting is
    necessary:
    Financial Accounting -> Accounts Receivable and Accounts Payable ->
    Business Transactions -> Outgoing Payments -> Automatic Outgoing Payment
    -> Payment Method/Bank Selection -> Configure payment program -> All
    company codes -> double-click on corresponding company code -> under
    Customer -> 'Sp. G/L transactions to be paid' the letter A should be
    entered.
    The field "Due On (BSEG-ZFBDT)" cannot be controlled with field status.
    It is contolled by field attribute of screen painter (Tcd: SE51).  If
    you look at element attribute for "Due On" field, a flag for required
    entry is activated.  In this case, field status has no control over
    the field.
    As of release 3.1G, field BSEG-ZFBDT is hardcoded in most FI screens
    to be mandatory and cannot be influenced by any field status
    changes. This situation is only valid when posting with special G/L
    indicator (ie PK 29/39).
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    reason behind this is that this special GL screen and the data entered
    here are very important to many other programs. This data affects
    liabilities and receivables where due date is necessary almost
    everytime. Thus, we changed this field in this screen in order to
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    545944    FAQ, down payment, tax code, baseline date
    above Field is controlled through SE51 only.
    Tcode : SE51
    Program (screen)     SAPMF05A
    Screen number        304
    Eliment list  press display.
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    Other options are below.
         The attribute "Input" can have the following values:
         o    Not possible
             The input/output field cannot be supplied with an input - that
             the screen element can only be used for outputs.
         o   Possible
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             the remainder of the transaction, an input is not required.
         o   Recommended (Optional Field)
             The input/output field should be supplied with an input at runt
             The system, of course, does not check immediately whether there
             been an input. During the remainder of the transaction, however
             input is necessary.
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             special character that is represented in the Screen Painter by
             question mark ('?'). The question mark will be suppressed only
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        when the event is processed  (PROCESS AFTER INPUT).
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        template must begin with a special character that is represented in
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        suppressed only if the field is in a table control or a step loop.
    I hope above information will resolve your issue.
    Kind Regards,
    Fernando Evangelista

  • Control the fields spl gl indicator wise

    Dear Gurus,
    Can any one tell me how to control the fields spl gl indicator wise?
    Regards,
    Venkat

    Hi,
    Always remeber fields control are as said below:
    1) Using the Field statsu group - for the line items field control with the link in GL - at Company Code level
    2) Using the Field status in Posting Key - for the line items field control along with the GL   - at Client level
    3) Using the Validation - for the header and also line item Company Code wise
    4) Using the User exit - for any transaction depends upon the requirement - at client level but can control even at company code.
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    VVR

  • Payment block with a quantity reason when IR before GR

    Hi,
    Currently, system sets payment block with a quantity variance reason when IR before GR for standard PO items. But this payment bock does not working for a Service PO items.
    In our system, we didn't maintain a talerance key DW as expained in the help below.
    Can anyone help this out to set payment block with a quantity variance when IR before GR for a Service PO item?
    DW: Quantity variance when GR quantity = zero
       If a goods receipt is defined for an order item but none has as yet
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    invoiced + total quantity invoiced so far).
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    tolerance limit defined.
    If you have not maintained tolerance key DW for your company code,
    the system blocks an invoice for which no goods receipt has been
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    tolerance limits for your company code for tolerance key DW to Do
    not check.

    Hi,
    We are on ECC6. I'm not sure if the answer from Chris is a correct.
    Anyone has used this fucntionality?
    Hi,
    There is a flag that can be maintained in table T165 Srv. IR before GR(SRV_IR_BEFORE_GR) that can be set to allow Invoice Receipts to be posted before GR's for service items. You will also need to set message SE 260 and 650 to warnings in customising or in view V_160M.
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  • Entries with Spl.GL Indicator

    Hi,
    I need to find out then transactions posted to a particular special GL indicator. any help is appreciated
    Thanks
    Babu

    Hello,
    Go to T code SE16 - enter table name bseg-execute-Menu bar - settings - fields for selection - and select the field UMSKZ, spl.GL indicator.
    Now in teh selection screen you can see the field Spl.GL Indicator. Enter the Indicators you need to get the data and execute.
    system will show all teh document numbers posted with those Spl.GL indicators.
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  • Posting to One time Vendor with SPL GL indicator

    Hi Experts,
    I want to post to a one time vendor using a special GL indicator.
    Standard SAP does not allow this.
    Is this possible through some round about way  without a very big z development.
    if not then is there any other way out.
    Regards,

    Hi trivedy
    You can post with Spl G/l to one time vendorsalso. What you have to do is that, create a Spl G/l for One time vendors. (i.e) In T.Code OBYR, create a Spl G/l for One time vendors and enter the recon a/c for One time vendors specified in One Time Vendors master data ad try to post. Hope this helps.
    Regards
    Rajaram

  • No payment block with non-valuated GR?

    Hello gurus,
    in our system, tolerance key PP is maintained to automatically set a payment block for the invoice, if the amount in PO and invoice differs too much.
    Unfortunatelly, the payment block is created for items with valuated GR only. For items with non-valuated GR, there is no error, no warning, no nothing.
    Any ideas on this?
    Thanks
    Alicia

    Hi,
    but where is the sense in that? In my view, an invoice that differs greatly from the PO should be blocked, no matter how/if we post the GR.
    Am I missing something here?
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  • Clearing through F.13 with spl gl indicator

    hi All,
    Is there any possibility to clear spl gl through F.13

    Hi,
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  • REG: FI-AR Open item clearning (with Spl GL transaction)

    Hi Folks!!
    I am stuck in a very difficult situation of resolving a scenario in FI. I am basically an ABAPPER.
    I am explaining you the FI-Functionality/Functional scenario below:
    I need to process a refund to customer pre-paid account towards "Subscription Paid in Advance".  The payment method being used is Credit Card. When there is a authorisation failure during refund, I need process this payment for manual check payment.
    Business need - to transfer Advance Receipts (Spl GL indicator A) to normal open items. Next populate with Refund Code and change the payment method to "Check". The Automatic Payment Program (APP), will generate payments in the next cycle with Customer open items with Refund Code and Check payment method.
    I need solution for -
    1. transfer to open items with Spl GL indicator to normal item
    2. to populate the field values for Refund Code and new Payment Method
    3. any standard BAPI/BTE which can be explored to meet this business requirement.
    Please do come up with any sorts of technical inputs. It shall be highly greatful in doing so.
    Thanks and Regards
    Srikanth.P

    Hi Jake,
    When did you do de init?
    In datasources FI-AR and FI-AP delta not only depends on time, it depends on the date, what I mean is that for these kind of datasources changes that are performed today would be ready to be uploaded by delta not before tomorrow.
    regards,
    Sebatián.-

  • Spl gl indicator

    Hi all,
                in T.code: FB60, I'm not able to see all spl gl indicators, I need to post a credit memo with spl gl indicator. But when I'm using f-43, I'm able to see all spl gl indicators,
                  do we configure differently for FB60 transaction spl gls???

    HI Venkat,
              thanks for you advise. we can use f-41 for credit memo, in that screen it is showing all spl gl indicator it's fine. but users use FB60, because of lot of line items.. but in FB60 I'm not finding all spl gl indicators, it showing only 4 spl gl indicators, where we have more than 20.
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               you are well come with your suggestions, if we can go it with out credit memo, then it's fine...
    thanks are regards
    msr

  • How to stop clearing open items with manual payment block.

    Dear,
    Even though we have set "manual payment block" on payment block indicator in OB27,
    I can process to clear open items manually in F-44 though.
    Actually user wants to NOT allow to clear once payment block's set in an open items.
    SAP documentation says,
    "Indicator that documents which are flagged with the relevant blocking key cannot also be cleared during manual entry of incoming payments or outgoing payments.".
    Can you advise me why this configuration does not work ?
    Kind regards,
    Desperate FI con.

    Include - MF05BFO0
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               ENHANCEMENT-POINT mf05bfo0_02 SPOTS es_sapmf05b.
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                   IF SY-TCODE = 'FB1K'.
                         T041A-AUGLV = 'AUSGZAHL'.
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  • How to Make MRBR to show the Customised Payment Block Indicator (MIRO) ?

    Hi
    Currently, from what I know of, MRBR only showing Log Payment Block as follows:
    A     Automatically blocked due to existence of blocking reasons
    S     Stochastically blocked
    M     Manual payment block set in header - no blocking reasons
    W     Automatically blocked due to entry via Web Invoice
    However during the manual MIRO creation, I put in customised Payment Block G (Block due to XX) in the Payment Tab of MIRO. This G does not get shown up in MRBR.
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    I would like MRBR to show up the exact Payment Block indicators as those in the MIRO.
    Please help.
    Thanks

    Hi Nick.
    I just found out that Payment Block Indicator shown in MIRO will appear in MRBR. The reason that it was not shown in MRBR because during MIRO creation, it was set BLANK and then user went to FB02 to change it with other customised Payment Block Value, thus when we run MRBR, it was showing blank under Payment Block column. Thus, we had to resort to LOG Payment Block which gave rise to this thread.
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    SAP note: 394370 has explained everything:
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    The invoice document itself cannot be changed by changes to the follow-up documents; this is not programmed. Transaction MRBR therefore continues to display the document as blocked. If this document is released from an MM point of view, the FI follow-up document remains released. Thus the damage caused is restricted to unnecessary work by the user. SAP recommends that you only use the release transactions for releasing invoices."
    Thanks a lot!

  • Clearing document with payment block

    Hi All,
    Need to ask, I have an invoice from MIRO -> payment block is = R
    I also have down payment -> payment block is = A
    When I do partial clearing using F-44 the system won't block me from clearing those documents.
    My question is... if those documents have payment block indicator, why SAP allows them to be cleared ?
    Thanks,
    -M-

    Hi,
    the payment block key able to block manual payment means the block key will  take effect when posting outgoing payment(F-53) or incoming payment(F-28). When posting the two kind of payment,  you cannot clear the open items of AR/AP with this kind block key.
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  • Vendor payment with spl gl

    When I use the SPL GL  indicator to vendor payment,  Vendor entry posted properly.  But we have not able to take cheque printout. please explain why??
    Regards,
    Raziq

    Hi ,
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    Regards ,
    Dewang T

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    pritpal

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