Posting Incoming Payment via T-code: F-28

Hi SAP,
Our users need to post incoming payment via t-code F-28, but when they simulate the
transaction, only 1 line item was appeared and system gave error
message;" please correct the marked line item". Then i correct the line item (fill in business area).
Then, when i enter the next posting for 2nd line item, system gave an
error message: "You are not authorised for company code 9000". Before
this our user can do the posting via incoming payment.This problem only
happened after we upraded the system to ECC.6.
I try check Txn SU53 to display the error message, unfortunately no error was generated by
the system. Please help me. I did ask our local consultant before but they asked me to implement note 727973. we already implemented the note but the problem still happened.
Will give points for those who help me solve this problem.
TQ
Regards,
Nazrul

Now that you are working on a ECC 6.0 the suitable note will be:
"1249923 - FB05: F5 413 for field GSBER for automatically created item".
Please, apply the correction instructions on this note and afterwards the problem should be solved.
Regards,
Lidia

Similar Messages

  • Posting Incoming Payment

    I am trying to Post Incoming payment through T.Code: F-28
    I suppose I am facing an error with respect to G/L account. I am core SD Consultant & unable to detect, what will be required to repair the following Error:
    Tax-relevant accounts not defined in this area; please correct
    Please Guide.
    Thanks & Warm Regards,
    Rajesh Banka

    Dear Rajesh:
    This is the work of FI Consultant.
    However the following configuration should be done to remove the error.
    Check Whether Tax codes have been defined in T.code FTXP.
    check Whether GL Accounts have been defined for tax OB40
    and also the check The GL Account in T.code FS00 in the tab
    Control data .Mention the tax category or select the check box  - (Posting without tax allowed).
    Please let me know if you need more information.
    Assign points if useful.
    Regards
    MSReddy

  • Bapi is used to 'post incoming payments (t-code F-28)'

    hi all
    can any one tell which bapi is used to 'post incoming payments (t-code F-28)'.
    thanks in advance,
    lokesh

    Hi
    Try 'BAPI_ACC_GL_POSTING_POST' and fill the parameters correctly.Contact ur functional to fill it correctly.
    That will work.
    If helpful give me points.
    Regards
    Manas Ranjan Panda

  • T-code F-28 (Post Incoming Payments) - only 16 lines to enter invoice doc

    Hope someone can help me on the following issue:
    Issue is pertaining to t-code F-28 (Post Incoming Payments). There are only 16 lines for user to enter invoice documents when we select Document Number for the Additional Selection. For some cases, we do need to enter more than 16 lines.
    Question:
    1.     Anyway to increase number of lines for user to enter invoice documents
    2.     Any workaround if the number of lines cannot be increased.
    Thank you very much.
    Wilson

    Hi,
    That is standard SAP screen defination.
    You can use "Page Down" button to enter additional 16 document numbers and so on. Or can give the document numbers in ranges.
    If you have a huge list of invoice numbers to be given which can not be met by above, then you need to develop a custom program to call BDC or BAPI_ACC_DOCUMENT_POST
    Regards,
    Gaurav

  • Posting Incoming payments - F-28

    *Tcode> F-28*
    I am trying to post incoming payment. The customer is created in company code 1050 but, I am getting this error message:
    "The entry 1050 is missing in table T043G"
    How do I correct this error?
    Please, I need step by step how to solve the problem not just general statement or comment. thanks

    Dear David,
    The reason for this is probably as a result of your customizing:
    In table T043G-ZTERM you can define a payment term as a standard
    for carryforward postings. Please have a look at the documentation of
    this field:
    "Standard payment term for carryforward postings
    Terms of payment key which is to be transferred to the line
    item when posting residual items.
    Procedure
    You only need to specify a terms of payment key here if the
    terms are to be transferred from the original document."
    You can customize T043G via SM31 or via IMG.
    You are probably assigned to a tolerance group that has a fixed
    payment term associated with it, in this case 1050.
    Therefore you would either have to delete this fixed payment term
    from the settings of your tolerance group, or maintain the entry
    in table T052.
    You can check this in transaction SE16, enter table name T043G, and
    leave all the selections blank except for 'Fixed Term' where you
    should enter 1050.
    I hope this helps.
    mauri

  • Post Incoming Payments - Transaction F-28

    Hello all,
    I need to post Incoming payments from a certain flat file.
    Is there any standard BAPI or  FM which does post the Incoming payments in F-28.
    Thanks in advance.
    Regards,
    Arun

    Hi Amit,
    I was searching on SDN for my problem and got your thread,
    I want to post incoming payment for customers using BAPI  BAPI_ACC_DOCUMENT_POST.
    But i am missing some paramenters that need to pass.
    When i am executing my program FI document is getting created but with posting key 40 & 50.(BSEG)
    I want document to be created with posting keys 40 & 15 (i.e. Incoming payment document).
    can you just give me any sample code or import values that need to pass & may be i am missing.
    Also my issue is interface between Non-SAP & SAP systems via BAPI for posting & Clearing.
    I know using above BAPI we can only post document but can not clear invoice.
    So is there any alternative to this bapi so that i can post & clear documents?
    Please reply.
    I tried with BDC for f-28 inside zbapi but through f-28 also we can only post documents which are partial payments.
    So is there any way to post via bdc or zbapi and then clear with some other transaction?

  • Error while posting Incoming payments from customers

    Hi Experts,
                      when i am trying to post Incoming payments from customers in F-28,The payment difference amount is Rs 5.
    while simulating the following error 
    "TAX CODE C2 FOR COUNTRY IN HAS BEEN DELETED OR INCORRECTLY CHANGED"
    MESSAGE NO.FS201

    Hi,
    OBZT just controls the display of the various tax codes in the drop down list if MIRO/ FB60 etc.
    You need to maintain the atx coe correctly in FBZP. Go to FBZP and in this tax code and check whether the tax rates etc. have been defined correctly for it.
    Regards,
    SDNer

  • Posting Incoming Payment : Message F5 536

    Dear Experts,
    When passing F-28 - Post Incoming Payments, I keep getting this error.
    "Tax-relevant accounts not defined in this area; please correct
    Message no. F5536"
    Any idea ? what can be wrong.
    Pleae asdvise ASAP.
    Best Regards,
    Mitesh Desai

    Hi,
    Check in FS00 for the customers related reconciliation account master data.
    Go to control data tab and check whether anything is given in the tax category column.
    If there is any selection in that, on the next field, please select post without tax allowed .
    Go to FTXP and create the relavant tax codes for customers and vendors. And also check in the customer master data in control tab for the tax selections.
    and also go thru this thread
    Tax Relevant Account
    Hope this helps
    Regards
    Jyotsna

  • A/P F110 Payment via company code in a different country

    The client is a service organization where the Vendor data is managed in the US company code (US01) and the Customer data in managed in a Swiss company code (CH02). Many of the customers could also provide services and the invoices are posted to vendor accounts in the US01 company code.
    In the case where the vendor amount exceeds the customer amount, the customer/vendor has agreed that the client will pay the net amount and clear the net to the customer account.
    Clearing between the customer and vendor in company codes in the same country and with the bank account managed in the same country works as expected.
    The CH02 company code does not have a bank account of its own and therefore cannot make its own payments.
    The problem that we encounter is that I cannot define (for F110 configuration) sending and paying company codes where the country assigned are different, e.g.;
       - Sending company code: CH02
       - Paying Company code:  US01
    When this is entered into the IMG configuration for "Automatic payments > Set Up All Company Codes for Payment Transactions" the error "Company code US90 is not permitted as the paying company code" (error code F3063) is issued. The detailed error description is:
    "The paying company code and the company code on whose behalf the payment is being made must be in the same country, have the same local currency, and display the same currencies managed in parallel. The setting regarding extended withholding tax functions (active or not active) must also be identical for both company codes."
    The initial design was to have the A/P and A/R in the CH02 company code but the payment via the US01 company code would not work. Having the vendor only in the US01 company code is a solution to this using an inter-company invoice posting. Using a work-around to clear the customer balance to the vendor account is not acceptable to the client.
    The easy way out of this is to assign the CH02 company code to country code 'US', but this is not correct.
    Is there a solution to making payments from company code US01 (as the paying company code) but including the customer items from a foreign company in the payment?

    Hi Martin,
    Welcome SDN!!!
    The standard SAP doesnot provide payment via company code in a  different country.If you still feel that it is fit case,please contact SAP.SAP may consider this a special requirement and may cover your case under SAP Note 357732.(pls have a look once).
    Thanks
    Aravind

  • Posting Incoming payment through EDI 820

    Hello,
    I am trying to set up EDI 820. I want to post incoming payments through EDI 820.
    IDOC Information
    IDOC type: PEXR2002
    Message type: REMADV
    Function Module: IDOC_INPUT_REMADV
    Process code: REMC
    I have been testing using test tool all my idocs are failed. The error which I am getting is - "customer/vendor could not be determined for intermediate document".
    Please suggest me how to fix this error. Is this related to FI config settings or ALE setting error.
    Thanks & Regards,
    Victor

    Even i faced the same error while posting the EDI820. Then i corrected the errror by maintaining the segement E1EDKA1
    Field name : PARVW , Value: AG
    Field name : Name1, Value : Vendor number at customer location
    And also the segment E1EDKA1
    Field name : PARVW , Value: BE
    Field name : Name1, Value : Vendor number at customer location
    this should help you
    IF E1EDPA1-PARTN IS INITIAL.
            IF E1EDPA1-NAME1 IS INITIAL.
    *-- keine Daten uebermittelt => Fehler
              PERFORM STATUSFELDER_FUELLEN
                      USING FEHLER_BEI_UEBERGABE
                            MSG_WARNING
                            MESSAGE_ID
                            MUSS_FELD_FEHLT
                            'NAME1'
                            'E1EDPA1'
                            SY-REPID
                            'E1EDPA1_MOVES'
                            'NAME1'
                            SEGNUM
                            DOCNUM.
            ELSE.
              SCHLUESSEL = E1EDPA1-NAME1.
            ENDIF.
          ELSE.
            SCHLUESSEL = E1EDPA1-PARTN.
          ENDIF.
          IF NOT SCHLUESSEL IS INITIAL.
            PERFORM PARTNER_TABELLE_LESEN
                    USING SCHLUESSEL PARTNERNUMMER
                          PARTNERART HILF_BUKRS.
    You can also populate  E1EDPA1-PARTN instead of NAME1 to find the account.

  • How to Post Incoming Payments

    Hi,
    I request you to explain the process involved to post incoming payments in F-28. Please let me know how I can track the Account number under Bank data of a customer and also what document type to be selected?
    If I select document type u2013 DZ system is asking an entry is required in field reference. My idea is to clear all the invoices of a customer.Please guide me what steps to be done to clear invoices of a customer.
    Please advice me.
    Thanks,
    Victor.

    Hi Victor,
    F-28 is using for customer incoming payment. In F-28,
      give doc. date,
      doc. type as DZ,
      Co. Code,
      Posting Date,
      Period, currency,
      Ref. No. in refe. field,
      no need to give doc. no.,
      give doc. header text,
      and give bank a/c. no.,
      amount,
      if bank charge applicable give bank charge amouunt otherwise no need to give,
      value date,
      header text and
      give customer no. and
      select process open item,
      then it will go another one screen and
      select select all button and select deactivate then all transacton figures will appear in block colour
      if the payment is full payment select standard tab, if it is partial select partial tab and if it is residual   payment select residual payment
      then select doc. no. for tracing invoice and click double click... it will shows blue colour
      in that below in Editing Status, the amount entered field and amount assigned field will be same and   the not assigned field should be in Zero. then only u can save. otherwise u can not save the doc.
    I think this will clear idea to u for Incoming payment process.....

  • BAPI or FM to post incoming payment for transaction F-28?

    Hi all,
    I am looking for a BAPI or FM to post incoming payment through transaction F-28.
    Please guide if someone worked on it.........
    Thanks
    Suvarna

    hi,
    look all these similar threads and u decide what to do .............
    BAPI on Post Incoming Payment (F-28) Enquiry
    BDC / Bapi For  Post Incoming Payment (F-28)
    F-28 -post incoming payment
    bapi is used to 'post incoming payments (t-code F-28)'
    BAPI or FM for F-28 Transaction
    ~~Guduri

  • F-28/Post Incoming Payments

    Hi All,
    When doing F-28 (post incoming payments), getting "No open items were found".
    I also checked in FBL5N and saw "No items selected" for customer account and company code.
    I have created order till invoice. Please let me know how to create accounting document after invoice.
    Thank you.
    With Regards,
    Gandhi Subramani

    Hi,
    The invoices from SD, transaction VF01, when created, accounting document is created automatically if everything is well configured, and no problems are found.
    Regards,
    Gilberto Li

  • Post Incoming Payments

    Hi All,
    When doing F-28 (post incoming payments), getting "No open items were found".
    I also checked in FBL5N and saw "No items selected" for customer account and company code.
    I have created order till invoice. Please let me know how to create accounting document after invoice.
    Thank you.
    With Regards,
    Gandhi Subramani

    Only when invoice is release to accounting then there will be open items in FBL5N. Check your invoice document flow on the status if there is 1 such accounting document. Check in VF03 Header Data --> Header --> Posting status. What is the reason stated here. Request accountant to use VFX3 to release to check for errors.

  • Can We enter Sales Invoice and Incoming Payment VIA SDK

    Dear Experts
    We have to develop an integration bridge with retrieve data from excel sheet and upload in SAP , i want to clear is it possible to enter sales invoices and incoming payment via SDK?. If it is possible please guide me about objects name and any reading material for SDK development.
    Thanks

    Hello,
    Yes it is possible with 2 steps:
    1. you post the invoice
    2. you post the payment
    I have already posted into the forum several examples, you may check them:
    For invoice + payment
    for payment only:
    Regards
    János

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