Payment run

For a  Vendor the following 3 are the document identified with a posting keys in a Payment Run.
21      Vendor A/C        Dr.
50     Expense  A/C     
21      Vendor A/C        Dr.
50     Expense  A/C     
31      Vendor A/C       Dr.
40     Expense  A/C     
Unable to make payment to the Vendor in the payment run. 
For this Vendor there is a open item of  -700
Even though there is open amount,  Is it because of the posting with the Vendor Dr.posting  that payment is not made ?
How to identify the exact reason why this Vendor is not paid.
What exactly needs check at the following for identifing the reason for not payment:
Vendor Master
Vendor Balances
Payment Run
Payment configuration

Where did you get this document informations from?
well, to do payments with F110 you will need to fill parameters correctly and certify that you have no "Payment Proposal" run before without "Payment Run".
The two documents wrote displays Debit Memo documents. these documents will be deduced of normal invoices. Did you check these data? Have you seen some payment block or correct payment medium?
Reply me with the payment log text, please.
Assing me poits as way to say thanks.
Rgds

Similar Messages

  • URGENT---Automatic payment run-Vendor open item clearing

    When I run the payment program, it ran without any error, however, the vendor account was not cleared. The balance in GL and Vendor account remains the original amounts. And the Vendor line items which were supposed to be cleared thru F110, are now showing as Open items.
    please give me the TCODES to look in.
    Please help.
    Thanks in advance
    Sharath

    Dear Sharath,
    To check whether your payment run has actually generated any payment document or not, please follow the following steps:-
    (1) Go to transaction SE16/ SE16N and table REGUH, give the "payment run ID", "run date" and "Proposal Indicator as blank".
         It should show the payment document.
    (2) If (1) above show payment document, then go to table REGUP and check the invoices paid.
       If invoices are there in REGUP, then there might be some issue in the payment document updation in the system which you can check via transaction SM12. (For this just check in table REGUV, whether payment documents created and posted are equal or not for the payment run.)
    (3) if (1) do not show any payment document, that means payment run has not made any payment.
        In this case, you create a new payment run and in the parameters select the error logs display also and in free selection give the document number you are expecting to be paid off by the payment run. This might help you to know the reason of non payment by cheking the proposal log/ payment run log.
    I hope that this should assist you
    Regards,
    Gaurav

  • Unable to capture in payment run

    Hi gurus,
    I have a credit note that won't capture in the payment run, f110. I have an invoice that should have written off that credit note but it didn't set it off.
    Now I'm wondering why the payment run won't pick the credit note? And won't make any payment for the invoice?
    Regards,
    aki

    Dear Aki,
    F110 is used only for generating payments. Th credit note that u have generated have vendor debited in it. in payment run u can not ajust two invoices having opposite vendor balances. Either use manual claering to knock of two vendor documents with oppsite balances or go for manual payment, where in u can choose the invoices.
    Regards,
    Ajay

  • AP Payment Run Process

    Hi,
    Please provide an overview of AP payment run process.
    Thanks,
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    Hi,
    APP ( T.code F110) is used to make payments enmasse for one or more vendors/customers.
    We can also group vendors/customers for more than 1 co.code for payments.
    The entore config for APP is done in capsule T.code FBZP.
    Here are the steps:
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    2.Set up a payment method for country and co.code 1 each for outgoing and incoming payments.
    3.Define house banks and set up bank accounts for payment method with relative ranking.
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    craete and edit a payment proposal where you can select the open items to be paid
    create and run a payment run
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    I would also recommend to go thru SAP help and also search this forum for further notes and specific queries in F110.
    Pls assign points if this info was helpful.
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  • Save automatic vendor payment run reference in clearing account assignment

    Hi,
    When executing an automatic vendor payment run, the run is identified with two fields:
    - Run date
    - Identification
    When the payments are posted, the vendors are cleared and an offsetting entry is posted onto the respective clearing account for each vendor. So if there is 100 vendors in the payment run, there will be 100 line items on the clearing account.
    When multiple payment runs are made on the same day, it is hard to separate the line items for each payment run, during the banking process. Each payment run appears with it's total payment amount on the bank statement and should be cleared against the corresponding line items on the clearing account and that's where it becomes hard to easily select the line items that add up to the payment amount.
    Unless of course, the assignment field on the clearing account would hold the run date and identification of the payment run.
    Has anybody encountered the same business scenario and found a solution for it?

    Question closed due to lack of replies.

  • Clearing of Open items - Critera - Auotomatic Payment Run

    Dear Friends,
    We have configured the Automatic Payment Run in the system and are in the process of maintaining the integration with the Bank. When we import the Electronic Bank Statement, we find that instaed of 'Value Date' some otehr reference gets populated in the assignment field in the line item for Bank Clearing Account, thus rendering it difficult to perform automatic clearing of open items. The first question is how to check what information is getting populated and why? Is there a way to find it out ?
    Another thing is that we have been advised to maintain the substitution rule so that instead of some other reference, the Value Date gets substituted in the Assignment Field? Need the help of experts in finding out which information gets populated in the Assignment Field and second what is the method and config maintainence required for defining the Substitution Rule so that the Value Date gets captuerd in the Assignment Feild and which would help in perfroming the automatic clearing of open items.
    Thanks in advance!
    Regards,

    Hi,
    Thanks for the prompt response. In FF.5 while importing the Bank Statement, the box for "Assign Value Date" was checked and in the GL Master of the Bank Clearing Account, the Sort Key has also been defined as 027 (Value Date). Even then in the line item posting for Bank Clearing Account, the reference from Document Header Text (Field Name BKTXT) gets populated in the Assignment Feild. Now the issue is that this field needs to be substituted with the value date. How to define the Substitution Rule? Another issue is what should be the second criteria defined in the system for clearing the Open Items in the Bank Clearing Account, since for the same value date there could be two identical items and only one may be cleared from the bank and other one may be outstanding?
    Help from experts who have configured e banking would be highly appreciated.
    Thanks!
    Regards

  • Payment Run - Urgent please

    Hi All,
    We have run a payment program which has cleared many open items of more than 150 vendors, and the payment documents have been generated.
    But there was some error.
    So we want to reverse all the entries caused by this payment run..
    Is there any way we can do mass Reversal of all the payment documents which would also reset the clearing documents.
    We cant use FBRA as more than 200 payment documents have been generated.
    Pl let me know how do we solve this problem.
    Regards
    Krishna

    HI,
    The app run has proposal level to check for the error, and if every thing is fine go for the payment run.
    if at proposal level, u have any error delegate the run and created the new run.
    this is how it has to be worked out
    if after payment u have to use FBRA .. per document number for all paid item .
    hope it is clear
    assign points.
    With regards
    krishna

  • Payment Run Clearing

    Hi experts,
    Good day! In payment proposal in F110, how does the system selects the items that needs to be clear for a particular vendor? Is there an indicator that I can use to skip the clearing of an open items?
    Can this be found in particular table? example BSIK?
    My requirements is the payment run should not clear zero-balance due open items for vendors, is there an indicator that I can activate to meet this requirement. Thanks
    Regards,
    Lon

    hi Lon
    You cannot change the Amounts in F110.
    only payment method or block
    Suggest you block item in the proposal,
    & pay partially in FB60.
    Once full payment is made then clear the AP open items manually.
    kind regards
    Arman
    SAP FICO

  • Payment run didnt pick the open items of Vendor(special G/L for downpmnt)

    Hi,
    Payment run didnt pick the open items of Vendor(special G/L for downpmnt). The line item is due on 2.11.2010.
    The payment run was done on 12.11.2010. Why this line was not picked?
    Edited by: Rudra Prasanna Mohapatra on Nov 14, 2010 11:11 AM

    Hi Rudra,
    In order for the special GL's to be selected for Payment run, you need to define them in your configuration.
    Go to FBZP, click on All company codes, and double click on your company code, and check whether special GL is entered in vendors>Sp. G/L transactions to be paid.
    Regards,
    SAPFICO

  • Block of payment in automatic payment run

    Dear friends,
    Can anyone help me in blocking an open line item in automatic payment run which is not already blocked but it is due for payment and i donot want to make its payment in the proposal.
    Also if i want to do partial payment out of the open line item proposed in the automatic payment run, how do i do it?
    Please help.
    Regards
    Dhirav Shah

    It is possible to add and delete payment blocks on individual items
    if they are included in the payment proposal.  When you have run
    the proposal there should be a button 'Edit Proposal' and there should
    be an option for payment block.  You can then enter a payment block,
    and when you save this the item should then appear in the payment
    proposal.  It is not possible to block an entire vendor account, you
    can only block individual line items. 
    Also most important thing in case you cannot edit this field in payment proposal:
    Check your customising in transaction OB27, For you to be able to change/edit "payment block" in a payment proposal, you have to set the flag 'Change in Pmnt Prop' in this transaction. 
    Once an item is included in the proposal, the only ways it can be blocked is by either editing the item WITHIN the proposal, or else by deleting the proposal, adding the payment block via FB02 and then rescheduling the proposal.
    Exact Steps:
    Press the 'Edit Proposal'
    Click 'All accounting clerks' on the Accounting Clerk box (This might
    not appear on your system)
    Double click on a particular item which you want to change
    Then you can add/remove the payment block .
    Hope it helps
    Rgds
    Soumya

  • F110, Automatic payment run.

    Dear GURUS,
    Is it possible not to clear down vendor or cutstomer while executing F110 trxn?
    Currently its been cleared but gusee there should be config i can deactivate "clearing".
    J.

    Hi Jimmy
    The fact that you pay off the vendor/customer, means it will be cleared for sure.
    If you don't want that, do not make the payment run. You can delete proposal once created.
    Cheers!
    Zub

  • Automatic payment run

    Hi
    One of the User run the F110 on some date and gave vendor numbers from 1 to 99999 with AP wire payment. Finally it showed 11 posting orders generated and completed. When I see the FBL1N for the vendor # 10346, it is showing under open only not cleared.
    Could you please advise me what should I do for this.
    Regards
    Murali

    Here are a couple of things that you can check.
    1. Go to FBZP and check if the payment method is in the country of the company code in which you are running the automatic payment run (also check in 'payment methods in country' if you have anything in allowed currencies.  If you have none, all currencies would work.  If you have specified any, it will work only for that currency).
    2. FBZP - Payment methods in company code - Check if the payment method is assigned to the company code and in the same option (payment methods per country) check if foreign business partner allowed checkbox is checked in case your vendor's country is other than the country of your company code.
    3. FBZP - Bank determination - Check if the payment method is having (a) ranking order and CoCd, (b) housebank/payment method (here again the same rule above applies to currency) is assigned to bank account ID and GL account, and (c) available amounts.  Value Date and Expenses/Charges are not important.
    Good luck!
    Assign points if it helps!!!

  • 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

  • Automatic payment run - F110 for range of periods

    Dear Friends,
    In Automatic Payment Run - is it possible to run for the particular period or range of periods as i need to take 14 days data  .
    As i need to take only previous 14 days data only
    Say for eg. I have  customer  who is having open item from Period 01-02-2011 to till date 27-03-2011.
    eg : it should take the open item in between period of  13-03-2011 to 27-03-2011.
    as this need to dymanic 
    Help me to solve this issue.
    Kind Regards,
    sarfraz

    If you can't use the fields on the Parameter tab, then try the Free Selections tab.  If that doesn't suffice, then use the BTE for payment blocking and item exclusion - Process 1820.

  • Automatic Payment Run - Clearing of the Open Items

    Dear Forum,
    We have an issue with the clearing of the open items in the Bank Clearing Account. While creating the payment run, the credit to the Bank Clearing Account happens with the Value Date getting updated in the Assignment Field. However, after we import the Electronic Bank Statement, we do not find the Value Date updated in the Assignment Field in the entry for debit to the Bank Clearing Account, and instead some other reference appears in the Assignment Field. The issue is in such a case how could we perform the automatic clearing of the open items. Is it that we need to do some maintenance in SAP or do we need to get some thing done on the Bank side.
    Also if the criteria for clearing the open items is value date, how would the system behave in case the value date is same for two identical items and only one has been cleared from the Bank...how would the system know which one to be cleared.
    Help in this regard would be highly appreciated.
    Regards

    Hi Raj,
    Basically assignment field is used to enter the cheque/ dd number or bank transfer doc number. Thi facilitate the refernce for the system. If you use this then the problem of checks with sam valudate & amount will automatically get resolved.
    Regards

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