Posting incoming payments by invoice/line item or BOL number

Hi all.  We have some customers who no longer pay us by full invoice number.  They are paying by individual piece number received.  The A/R line item layout for posting payments includes mahy choices, but I cannot find the invoice ITEM number, only the invoice number.  Further, if the customer pays by BOL number, I do not know how to get the corresponding BOL number to show on the A/R line item layout for posting payments.  This has become a critical situation and taking much time for our A/R clerk to match up and clear invoices.  Any help would be greatly appreciated.
Thanks
Janet Kuck

Hi
Posting in AR happens for the individual Document and not by individual line item and hence you were not able to locate line item wise details for clearing purpose. If you can have the BOL number copied to the text field and include the text field in the clearing screen, this will resolve to some extent.
Regards,
Lakshmanan Krishnan

Similar Messages

  • 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

  • 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,
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  • 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.

  • Post incoming payment process open items error message

    Hello,
      When doing incoming payment process for open items one error message shows :"The difference is too large for clearing". It seems I have to input some amount in cash discount area.But actually the case discount amount is 0 in SO condition.
    Could you please help me on this issue?
    Thanks

    Hi ling zhang
    In F-28 you can clear the amount but you need to give the exact amount for that customer.
    The possible reason for getting that error while clearing is that customer must be having already some more open line items. 
    Just go to FBL5N and check the open line items and the total amount of that payer and then go to F-28 and then clear the amount
    Regards
    Srianth

  • Payment to be done according to invoice line item

    Dear SAP Friends,
    I require a small clarification on Payment. Please see the below screnario.
    1. I have a invoice for 10000 USD, Which includes 3 lines in the details.
           a. Water Charge - 3000
           b. Electricity Charge - 5000
           c. Rent Charge  -        2000.
    2. Now i receive a payment of 8000.
        Will it possible to match the invoice line item to receive the payments of 2 individual lines for 5000 and 2000.
        When i checked with our FI consultant , i saw that payment is done with respect to the whole invoice , not the individual detail line.
    Can anyone please provide some information on this.
    Thanks
    Kunaseelan.

    Hi
    Payment will be done with respect to Invoice only but not based on the Individual Line Items.
    you can do by partial or Residual Payments.
    Regards
    Venkat

  • Post non PO invoice line items using INVOIC01 and FM IDOC_INPUT_INVOIC_MRM

    hello there SAP folks,
    Have an interesting question for all of you. We currently have a partner through whom we use the IDOC_INPUT_INVOIC_MRM Function module to pass invoices. Now there are multiple line items some times [multi E1EDP01 / E1EDP02] segments which all refer to the same PO but to different line items on the PO. Now all that is well.
    For one particular partner we now have the following requirement. We are going to have the same condition as above, with the added condition that there are going to be some invoice line items with no reference to a PO. the reason is that the vendor is going to calculate the different taxes and send them to us. so when we post the invoice :
    we will now have
    31 Vendor
    40 GR/IR
    40 Tax 1
    40 Tax 2
    50 Tax 3 offset
    instead of
    31 vendor
    40 GR/IR
    to deal with the new situation I tried adding having the following
    first E1EDP02 is going to refer to the PO using qualifier 001, but second E1EDP02 [for tax] s not going to have a qualifier 001. When I do that i get a missing belnr (001) and zeile (001) error.the exact error message is the following
    Required field BELNR(001) is missing in segment E1EDP02
    Required field ZEILE(001) is missing in segment E1EDP02
    Message no. FD070
    Now to bypass that, I added the 001 qualifier for the second E1EDP02 [tax part] and now the error that I get is either the PO is duplicated or if i put some dummy PO number, then it says PO cannot be found.
    =======
    so the question is how is it possible to post  4 items in the idoc , with one being a PO reference and 3 non PO reference using INVOIC01 and IDOC_INPUT_INVOIC_MRM
    I also have to add that it is possible to add a non PO items to the MM invoice in MIRO by entering the additional tax lines using the g/l account tab next to the PO reference tab.

    nvm.
    Edited by: D N on Dec 16, 2008 2:10 PM

  • Post incomming payments

    Hi Experts
    Can you please let me know how to process the residual payments for customers
    When i try to do the same i am getting struck up with the issue of
    I went to f-28 and entered the amount to be payed and selected the process open items -
    Then double click on cell in Res. Item column for that line item.
    Now when i try to simulate and save i get this error
    *"CORRECT THE MARKED LINE ITEMS"*
    I wonder, is there any other way for residual payments
    Partial Payment was successful.
    I am very new to this please help me.
    Thanks

    Hii,
    Thank you for the response,
    I try to post another invoice but its asking the same thing...
    I wonder is there any where we have to configure residual payments.
    As you said in the blue line time screen i.e POST INCOMING PAYMENTS PROCESS OPEN ITEMS PAGE
    I went to residual payments tab and selected amount under USD GROSS  and double clicked on Cash Discount
    And finally if i try to simulate its taking to the screen POST INCOMING PAYMENTS DISPLAY OVER VIEW.
    If you see there in the bottom there is a tab
    open line item with
    PK - ACCOUNT - SPL  IND - TTYPE - NEW CO CODE.
    Here its asking for "correct the marked line items.
    Usually even in partial payments this screen appears but this gets directly saved
    Otherwise if you can help me how to show paste the screen shot here i will do that
    Thanks

  • 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
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    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.
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  • 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).
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    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
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    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,
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  • Posting Incoming Payment thru R-28

    Hi ,
    While posting incoming payment thru f-28 on simulation the second line item is Highlighted on entry of text & assignment we are able to post the document.
    I want to know where and what changes are done to get this feature.
    Thanks
    Surojit

    Hi
    This means that either text/assignment or both have been made mandatory for that line item, either in GL related field status group or Posting key realted field status group or through validations.
    Hence you may need to check all these to find out where it is customized.
    Regards

  • During F110  run-How to pick profit centre from the Pur.Invoice line item ?

    Could anyone please help me with a solution to this problem.
    Purchase invoice line items have got profit centre recorded from Material master.
    While doing the auto payment run F110, for foreign currency invoices, the exchange rate diff
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    But there is no cost object attached.
    Business wants the system to pick the profit centre from the purchase invoice line item
    and put it in the line item record of the exch rate diff account.
    Can I do it using OKB9 ? Could someone please explain how to do it.
    Thanks

    Hi,
    With standard SAP this is not possible.may be you have to develop some custom program.
    with my experiance,we always post to defualt cost center.
    hope this helps you.
    Thanks,
    Rau

  • 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.....

  • BDC / Bapi For  Post Incoming Payment (F-28)

    Hi
    Im creating BDC for F-28. But it got error coming out.
    >> It says DB05B-PSZAH(02) is not an input field.
    What I do is: First, I search for Line Item then Document Number. Then It return to basic list. Then I loop again for the second Line Item Number and Document Number.
    I can activate the first amount but cannot for the next amount and so on.
    Anybody could help me on this??
    Is there any BAPI for Post Incoming Payment (F-28)?
    Thank you.
    Regards.

    i dont think there is a BAPI for this Transaction...
    i have done a BDC on F-28 myself....pasting the code....hope it helps you....
    *******NOTE********
    the parameter in the subroutine is to see if there is a single document or multiple documents being posted.
    FORM fill_bdc_data_f-28_9005 USING p_i_mult_doc TYPE c.
    **BDC from screen 9005
      DATA : l_amt_bdc(13), l_amt_bdc_remain(13), l_amt_bdc_mult(13),
             l_amt_bdc_mult_remain(13), l_assignment(14), l_period(2),
             l_amount(13).
      CLEAR t_bdcdata.
      REFRESH t_bdcdata.
      PERFORM bdc_dynpro USING 'SAPMF05A' '0103'.
      PERFORM bdc_field USING 'BDC_OKCODE' '=AB'.   "OK CODE - doc overview
    **get user default date format and pass date in that format
      PERFORM convert_date_to_user_format USING bkpf-bldat.
      PERFORM bdc_field USING 'BKPF-BLDAT' w_date.  "cheque date
      CLEAR w_date.
      PERFORM bdc_field USING 'BKPF-BLART' i_blart.  "doc type
      PERFORM bdc_field USING 'BKPF-BUKRS' i_bukrs.  "comp code
    **get user default date format and pass date in that format
      PERFORM convert_date_to_user_format USING bkpf-budat.
      PERFORM bdc_field USING 'BKPF-BUDAT' w_date.  "posting date
      CLEAR w_date.
      l_period = sy-datum+4(2).
      PERFORM bdc_field USING 'BKPF-MONAT' l_period. "period
      PERFORM bdc_field USING 'BKPF-WAERS' 'INR'.    "currency
      PERFORM bdc_field USING 'BKPF-BKTXT' i_bankl.  "doc. hdr. text
      PERFORM bdc_field USING 'BKPF-XBLNR' i_xblnr.  "Ref. Document No.
      PERFORM bdc_field USING 'BSEG-ZUONR' i_zuonr.  "Assignment(Depot Code)
      PERFORM bdc_field USING 'RF05A-KONTO' i_bank_gl. "Bank GL acc
      PERFORM bdc_field USING 'BSEG-GSBER' i_gsber.  "Business Area
      l_amount = bseg-wrbtr.
      PERFORM bdc_field USING 'BSEG-WRBTR' l_amount. "Amount
      PERFORM bdc_field USING 'BSEG-PRCTR' ''.  "Profit Center
    **open items data
      PERFORM bdc_field USING 'RF05A-AGKOA' 'D'.     "Acc type (D=customers)
      PERFORM bdc_field USING 'RF05A-XNOPS' 'X'.     "Std OIs check box
    **end of first screen
    **document overview screen
      PERFORM bdc_dynpro USING 'SAPMF05A' '0700'.    "Overview Screen
      PERFORM bdc_field USING 'BDC_CURSOR' 'RF05A-AZEI1(01)'.     "cursor
      PERFORM bdc_field USING 'BDC_OKCODE' '/00'.     "OK CODE
      PERFORM bdc_field USING 'RF05A-NEWBS' '19'.    "posting key
      PERFORM bdc_field USING 'RF05A-NEWKO' i_kunnr. "customer
      PERFORM bdc_field USING 'RF05A-NEWUM' 'B'.     "Spl GL Indicator
    **for single document selected
      CLEAR l_amt_bdc.
      IF p_i_mult_doc = ''.
    ***new screen - next line item
        PERFORM bdc_dynpro USING 'SAPMF05A' '0303'.
        PERFORM bdc_field USING 'BDC_OKCODE' '=BU'.    "OK CODE
    **for single document, use the bouncing amount calculated earlier
        l_amt_bdc = w_amt_ant_bouncing.
        PERFORM bdc_field USING 'BSEG-WRBTR' l_amt_bdc. "amount
    **due date - same as posting date on screen
    **get user default date format and pass date in that format
        PERFORM convert_date_to_user_format USING bkpf-budat.
        PERFORM bdc_field USING 'BSEG-ZFBDT' w_date.  "due date
        CLEAR w_date.
    **assignment
        CLEAR l_assignment.
        CONCATENATE t_seldoc_ant_bouncing-belnr
                    t_seldoc_ant_bouncing-gjahr INTO l_assignment.
        PERFORM bdc_field USING 'BSEG-ZUONR' l_assignment. "assignment
        PERFORM bdc_field USING 'BSEG-GSBER' i_gsber.
    **if there is some remaining amount, then go for another line item
        IF w_rem_amt_ant_bouncing > 0.
          PERFORM bdc_field USING 'RF05A-NEWBS' '15'.    "posting key
          PERFORM bdc_field USING 'RF05A-NEWKO' i_kunnr. "customer
    **new screen
          PERFORM bdc_dynpro USING 'SAPMF05A' '0301'.
          PERFORM bdc_field USING 'BDC_CURSOR' 'BSEG-ZTERM'. "CURSOR
          PERFORM bdc_field USING 'BDC_OKCODE' '=BU'.    "OK CODE-ENTER
          l_amt_bdc_remain = w_rem_amt_ant_bouncing.
          PERFORM bdc_field USING 'BSEG-WRBTR' l_amt_bdc_remain.
          PERFORM bdc_field USING 'BSEG-ZTERM' '0001'.
    **AGAIN
          PERFORM bdc_dynpro USING 'SAPMF05A' '0301'.
          PERFORM bdc_field USING 'BDC_CURSOR' 'BSEG-WRBTR'. "CURSOR
          PERFORM bdc_field USING 'BDC_OKCODE' '=BU'.    "OK CODE-SAVE
          PERFORM bdc_field USING 'BSEG-WRBTR' l_amt_bdc_remain.
          PERFORM bdc_field USING 'BSEG-ZTERM' '0001'. "pmt term -hardcoded
          PERFORM bdc_field USING 'BSEG-SKFBT' l_amt_bdc_remain.
        ENDIF.
    **multiple documents
      ELSE.
    **initialize remaining amount to amt entered on screen
        l_amt_bdc_mult_remain = bseg-wrbtr.
        LOOP AT t_seldoc_ant_bouncing.
          IF l_amt_bdc_mult_remain > 0.
            IF bseg-wrbtr > t_seldoc_ant_bouncing-rem_amt.
              l_amt_bdc_mult = t_seldoc_ant_bouncing-rem_amt.
            ELSE.
              l_amt_bdc_mult = bseg-wrbtr.
            ENDIF.
    **remaining amt = screen amt - amt calculated above.
            l_amt_bdc_mult_remain = l_amt_bdc_mult_remain - l_amt_bdc_mult.
            PERFORM bdc_dynpro USING 'SAPMF05A' '0303'.
            PERFORM bdc_field USING 'BDC_OKCODE' '=BU'.    "OK CODE
            PERFORM bdc_field USING 'BSEG-WRBTR' l_amt_bdc_mult. "amount
            PERFORM bdc_field USING 'BSEG-GSBER' i_gsber.  "Business Area
    **due date - same as posting date on screen
    **get user default date format and pass date in that format
            PERFORM convert_date_to_user_format USING bkpf-budat.
            PERFORM bdc_field USING 'BSEG-ZFBDT' w_date.  "due date
            CLEAR w_date.
    **assignment
            CLEAR l_assignment.
            CONCATENATE t_seldoc_ant_bouncing-belnr
                        t_seldoc_ant_bouncing-gjahr INTO l_assignment.
            PERFORM bdc_field USING 'BSEG-ZUONR' l_assignment. "assignment
    **posting key 19 for all but last document
            PERFORM bdc_field USING 'RF05A-NEWBS' '19'.    "posting key
            PERFORM bdc_field USING 'RF05A-NEWKO' i_kunnr. "customer
            PERFORM bdc_field USING 'RF05A-NEWUM' 'B'.     "Spl GL
          ENDIF.
        ENDLOOP.
      ENDIF.
    **post remaining amount
      IF p_i_mult_doc = 'X'.
    **new screen if there is some amount left
        IF l_amt_bdc_mult_remain > 0.
    **posting key 15 with remaining amount
          PERFORM bdc_field USING 'RF05A-NEWBS' '15'.    "posting key
          PERFORM bdc_field USING 'RF05A-NEWKO' i_kunnr. "customer
          PERFORM bdc_field USING 'RF05A-NEWUM' ''.     "Spl GL
    **new screen
          PERFORM bdc_dynpro USING 'SAPMF05A' '0301'.
          PERFORM bdc_field USING 'BDC_OKCODE' '=BU'.    "OK CODE
          PERFORM bdc_field USING 'BSEG-WRBTR' l_amt_bdc_mult_remain.
          PERFORM bdc_field USING 'BSEG-ZTERM' '0001'. "pmt term - hardcoded
        ELSE.
    **if no amount is left, no need for a further line item
          PERFORM bdc_field USING 'RF05A-NEWBS' ''.    "posting key
          PERFORM bdc_field USING 'RF05A-NEWKO' ''. "customer
          PERFORM bdc_field USING 'RF05A-NEWUM' ''.     "Spl GL
        ENDIF.
      ENDIF.
    **clear variables
      CLEAR : l_amount, l_assignment, l_amt_bdc,
              l_amt_bdc_remain,l_amt_bdc_mult, l_amt_bdc_mult_remain.
    ENDFORM.                    " fill_bdc_data_F-28_9005

  • Post incoming Payments (F-28)

    I am getting an error when I tried to post incoming payment from Customer.The txn is F-28. The error message is "The difference is too large for clearing"
    Please help me to resolve this issue.
    Thanks.

    Hi Latha,
    Check your tolerance limits(should have been defined for both employees and customer/vendors).Also you are trying to clear items against each other which donot match. In such cases select Partial/Residual clearing and try to clear the open items.
    You can select Partial/residual clearing tab and proceed.
    This may happens because amount entered and amount assigned both are different and in amount not assigned there is some amount difference.
    So, First select all documents with help of select all and click on Item deactivation tab. Now it will show amount entered same in block of not assigned .(unless the amount entered is equal to amount assigned..u cant clear)
    Now select the document agt which u want to clear.
    If any partial payment is there go to partial tab and there double click before payment amount.
    It will show payment amount.
    This might solve your problem
    Regards
    Aravind
    <b>PLEASE DO ASSIGN POINTS IF USEFUL</b>

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