Payment run issue F110

Dear all,
we recently migrated from 4.6 to 6.0.
For our small subsidiaries, we have a program to load vender's invoices without specifying payment method and house bank.
Before migration, F110 took the payment method and house bank from vendor´s master data. F110 didn't cause problems whenever there was only one payment method in vendor's master data specified.
After migration, F110 dosen't find payment method and house bank anymore. All invoices without payment method and house bank specified in the invoice document, appear like an exception in the payment run.
Is there anything I can do to make it work as before?
Regards,
Claudia.

Hi Kris and Mahesh,
this is all checked.
The message which is displayed is that there is no valid payment method found.
But we didn't change anything, just after the migration it stopped working.
Housebank has the same currency and payment method as vendor's master.
I compared two invoice documents before and after migration, they are exactly the same and vendors master data wasn't modified since 2006.
This happens for all of our small subsidiaries using a program to load invoices which doesn't include payment method or house bank info.
Regards
Claudia.

Similar Messages

  • Automatic payment run through F110

    Hi Everyone,
    During the aotumatic payment run via F110, after creating the proposals when i am trying to display the proposal, it is giving an error message that " Company Code XY12 / XY12 does not appearin proposal 08.07.2011 AB00; correct "
    But I already set company code XY12 , in the company code in the parameter tab. I ahve also set there payment methods and next payment date. Please help.

    Hi
    After you get the mesage
    Carried out Automatic Payment Run through F110
    Posting orders: 2 generated, 0 completed
    You need to refersh data by pressing Status or Pressing Enter.
    Regards
    Venkat

  • Payment Run (TCode F110) Requirement

    Hi,
    We have a requirement that when Payment run (TCode F110) is run for a particular company code for international payments and if the payment run has a credit memo and if more then 4 lines are cleared and the currency is Euro, then the payment advise should be printed immediately and should not end up in spool.
    If the above conditions are not met then the payment advise should end up in spool the way they are currently.
    Please suggest how to fulfill the above requirement.
    Thanks and Regards,
    John

    Moderator message - Please do not post your requirements and ask the forum to do your work for you - post locked
    Rob

  • T. Code for Cancelling / Deleting the Payment Run in F110

    Hi Gurus,
    Can anybody please tell me the transaction code for deleting the payment run (before taking print out) in F110.
    I tried to do it from F110 itself and is working fine.
    I want to know if there is any separate T.Code available.
    Regards.
    Vikas

    Hi Chintan
    If there is no concept of Deleting Output then why SAP provided Delete Output Option in F110.
    Vikas you are right We can Delete the Payment Run in F110 itself.
    And as you mentioned you did not make the printout form so there is no Check Printed, you go to Transaction FBRA and Reset & Reverse the Payment Document(Clearing Document).
    If the Check is printed then you need to use FCH8 , Cancel the Check and then Reverse the Document as said Above by Zubin.
    Regards
    Venkat

  • IDOC Output for Payment Run through F110

    Gurus,
    I am trying to generate IDOCS for the payment run through F110 transaction. I have setup the following but still unable to generate the IDOCS.
    - Bank partner setup with IDOC PEXR2001 and message PAYEXT.
    - House bank configuration.
    Can anyone help me with the complete set of instructions to generate the idocs?
    Thanks in advance,
    Rishi

    Hi
    Have you done House Bank Configurations (FI12) and APP settings (FBZP)
    Are you using workflow concepts in this Scenario.
    Please check these 2 settings may be problem with these settings.
    Thanks
    Chandra

  • F110 Payment run issue

    Hi,
    We have created a payment run 1a  for a range o vendors  1 - 200  scheduled the payment run, vendor no 10 was included. Then 10 mins later scheduled another payment run for vendor number 10 only the payment run was scheduled. Now the issue is for both payment runs the backgorund jobs are still running after 4 hours!
    In FBL1n for the vendor 10 invoices have been cleared by both payment runs, which is ok.  In SM50 both background jobs I can see they are stuck in program "CL_BCS_EMAIL_ADDRESS==========CP"  this is the part of the BTC used to determine the email address of the vendor.
    Has anyone come across this issue before?
    thanks
    Joe

    Hi,
    yes, though couldn't figure out the reason, however if you check SP02 in the spool area you will be able to view all the advices.
    best regds
    Subha

  • Is it possible to find out which user deleted a BACS Payment run in F110

    We have had a bit of a crisis here. A payment run has been deleted after all internal audits had been carried out. No one has said they deleted it but I wondered if there was anyway we could find out?

    Hello,
    Do you mean, proposal was completed and checked in audit and when you submit for actual payment, this run was already deleted? If yes, it can't be a technical issue. Someone must have deleted manually from F110 and unfortunately, there is no traces for this.
    You can only find who all used F110 in a given period say between proposal completion time and deletion time. But, can't fnd exact user who deleted the run!
    For future action, you can workout with BASIS, identify which authorization is called for delete action and restrict this access to few authorized people only.
    Thanks,
    V V

  • Automatic Payment Run Issue

    Hi,
    In my company I want to do the automatic payment run with the customer setoff & customer open items document  currency is USD & vendor document currency is LKR .I want to do the payment run in LKR.(My company code currency is LKR) I have defined the payment method "C" in both the Master data ( Customer and Vendor). Now I am trying to run Automatic Payment Program. But system shows all Customer invoice in exception list and display the following given below message. Can I run the automatic payment program using difference currencies? Please advice me to resolve the above issue.
    Further this process I am doing for LKR customer & vendors & its working fine without giving any issues.
    Enter a payment method for incoming payments
    Message no. FZ010
    Diagnosis
    The balance of the items to be paid requires a payment method for incoming payments. You specified a payment method that is defined for outgoing payments.
    System Response
    The payment method is rejected.
    Procedure
    Enter a payment method for incoming payments
    Thanks
    Chrishantha

    Hi,
    I have created incomming payment method under this company code & asing to the customer master records.
    How can I select multiple payment method at the time of doing auto payment run
    Further , I didn't do any changes in vendor master records since I have to do the outgoing payment also
    Please advice
    Regards
    Chrishantha

  • Payment run issue

    Hi,
    When payment run of a doc for 2009 is carried out cheque is printed but clearing no. has not been assigned in system.
    Please let me know what needs to be done in this situation.

    We've had that happen before.  We use F110 to produce all of our checks.  Under the status tab, the log displays Posting Orders: # generated, # completed.  And one day for one run, those numbers did not match.  The check was created but there was no clearing doc number created.  We also noticed an errror in the BASIS log SM13.  We had to void the check - I think with tcode FCH9 - so that the payment program would pick up the invoice(s) again.
    In the future if you don't want that to happen again, then under your check variant, under the Output control section, there is a setting "Payment Document Validation".  Before using it, please read the F1 help on that setting to make sure that it fits your process.  Otherwise, we monitor our SM13 log daily to more quickly flag when a posting update does not happen.
    Cindy

  • Table/field/report showing approver of payment run in F110

    After reviewing the payment proposal in F110, supervisor approves the Payment Run by clicking u201CStart immediatelyu201D in Schedule Payment pop-up. 
    For audit purposes, we need to view who approved specified payment runs.  Anyone knows the table, field, or report would contain that information? 
    Appreciate any help.

    They're a document that records when things get changed.  "Things" includes pretty much anything from material master to sales orders, hence "general".  
    But It isn't enabled by default for all tables, mainly for performance reasons. Is it enabled for the relevant REG.... table(s) in the data dictionary?  You might need to check with a basis guy or abapper.
    I'd say enabling it is simpler than modding the standard programs and tables, like by adding fields to REGUV.

  • Automatic Payment Run ( Tcode F110)

    Hello Friends,
    I am doing the payment run through tcode F110 and on this tcode screen we have third tab FREE SELECTION and in this we select fields based on document ,vendor and customer.
    When i am selecting radio button Document and it is opening one screen but in this screen some fields are missing from header table BKPF.
    Kindly tell me how to add one more field in that selection.
    Where i can do the settings to do one more field.
    Please give me some solution as  soon as possible,.
    Thanks a lot.

    Hi karthik,
    i am looking for the username field ie BKPF-USNAM field.
    Kindly tell me how to add this field.
    Thanks a lot

  • Payment run through F110 will send mail, need mail list where we maitain?

    Hello Experts
    when we run the payment run F110, it will send the mail to users , but can  i find where the mail recipient list maitain ?
    Please help me to enhanse the mail list.
    Thanks

    Kalyan,
    If my guess is correct accounting clerk assigned in the vendor master might be driving this. Check the accounting clerk id's assigned to the vendors. Check the accounting clerk configuration by following the menu path : SAP IMG->Financial accounting ->Accounts receivable and payable ->vendor accounts -> master date ->Define accounting clerks.
    If this is the case you have to create a new accounting clerk id and assign the same to vendors which are processed by new business user.
    I hope it will help,

  • Payment Run in F110

    Hi Gurus,
    Is it possible to set a default GL account when we execute a payment run for the proposal that we made in t-code F110?  This will be for a specific company code and specific payment methods only.
    Thanks,
    Ellicec

    Hi Atif,
    Thank you very much for your reply.  I have already done the config in FBZP.
    I just have another inquiry.  Is it also possible to set a default document type when you run a payment in F110.  Currenlty, it is defaulted to document type ZP.
    Thanks,
    Ellicec

  • Vendor - Payment run issue

    Hi All,
    When we run the payment run, we are having problems with some of the vendors, because even they are set as payment method "T", transfers; when we run the payment run it shows as "C" payment with check.
    Kindly, advise me on the same.
    Quick response will be appreciated.
    Thanks & Regards

    hi,
    Payment method entered in vendor master will only default it while posting any document for the vendor. It can be changed during document entry and the Pymt method entered in doc will only be considered for F110.
    So check in documents posted for that vendor.
    Assign points if useful
    Regards
    Raghu Ram

  • Question about DME file in payment run (transaction F110)

    Hi expert,
    I have made a payment run in transaction F110.
    The payment was made and the bank file (DME file) was created. We are using DME format /BE_BEPDTA.
    The bank number in the file is the bank account number from transaction FBZP (table V_T012K, field BANKN).
    However, we would like to use the "alternative account number "in the DME file. This is table T012K, field BNKN2.
    How can this field be used in the DME file for a specific bank ?
    Thank you for your support.
    Kind regards,
    Linda

    Hello,
    Copy /BE_BEPDTA in DMEE transaction code to ZBE_BEPDTA and modify according to your needs.
    Then use this format in FBZP settings. (payment method in country)
    Regards,
    Ravi

Maybe you are looking for

  • How to display Page numbers in XMLreport(on PDF)

    hi all, we have a requirement where we need to display page numbers(e.g.page 1 of 10),on an XML report. can anybody suggest me the solution.

  • MM-SUS:You can add new fields in the BSP?

    Hi Gurus, I wonder if you can add new fields in the BSP of invoice in SUS. I need to enter new fields and then to perform validations using these new fields. know how to work toward a solution? Cristian

  • InDesign Panels created with Extension Builder 3 get collapsed upon relaunch of InDesign

    InDesign Panels created with Extension Builder 3 get collapsed upon relaunch of InDesign and you have to corner drag them open to see the panel. This bug is very annoying. Does anyone know a work around?

  • Camera RAW and Yosemite?

    I just updated Aperture 3.6 and Camera Raw 6.01. According to all the info it should read files from my new Canon 7D Mark II. http://support.apple.com/en-us/HT203996 Well it doesn't! Adobe Camera Raw also doesn't work with the files from this camera

  • Failure to start + Kernel Panic iMac 6,1 10.6.8

    I am repairing a friends iMac 6,1 24" (Late 2006?). It fails to boot, displaying a white screen after finishing with the apple logo/spinning logo page. I cannot boot into the recovery tools on the original OS X Tiger disks because it freezes at the a