Posting through f-53

Hi Experts,
I have a requirement of Manual outgoing payment for vendor, for this normally we use f-53, Now i have to do this automatic, could you please help me, if any BAPI exists or other way to do it.
Thanks and regards,
RRK.

Hi,
Yeah, as Max said, you cannot clear the invoices while posting outgoing payments. BAPI_ACC_DOCUMENT_POST can post a document with Vendor Debit & Bank Credit entry(which is same as F-53) but it cannot clear the invoices while posting this document & if you want to clear the invoices after that payment you can use F-44 you to clear the invoices.
Thanks & Regards,
Faheem.

Similar Messages

  • Getting Error while posting through KB11N : No true sender object entered

    HI Expert,
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    We created the Purchase requisition with the stastical Internal Order then we did Purchase Order and MIGO -Goods Receipt.
    Now we realised that wrong Internal Order  was used. Now we want to tranasfer cost from that Internal order to New Internal Order. we are trying to post through KB11N but while giving the all details i am getting error as per below;
    No true sender object entered
    Message no. BK175
    Diagnosis
    You have entered a statistical object as a sender. Statistical objects, however, are only intended for use with dual account assignments.
    Procedure
    1. If you require a dual account assignment, enter a true object as a sender also.
    We are using cost element with having cost element category 90.
    I don't no which is the true sender Object.
    Thanks in advance
    ealry help will be highly appreciated.

    Your postings had happened to a statistical internal order.  I hope the real postings might have happened to a cost centre.
    You cannot settle anything from a statistical internal order.  It is just for information purpose only.  If the above posting had captured a cost centre (real posting), you can distribute/assess the cost from the cost centre to a real internal order for your purpose.

  • How to add line items to Accounting Document posted through MIRO ?

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    Hi,
    Check the BTE's:
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    00001025     POST DOCUMENT:       Final checks completed       SAMPLE_INTERFACE_00001025
    00001030     POST DOCUMENT:       Posting of standard data     SAMPLE_INTERFACE_00001030
    00001050     POST DOCUMENT:       Accounting interface           SAMPLE_INTERFACE_00001050
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  • Field Profit Center is not populated while posting through T-Code F-02

    Dear Sir / Madam,
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    Dear expert
    Check following steps...
    1. Use transaction ACSET and enter cost center as your account assignment for type 01 APC posting..
    2. Make sure Cost Center exists in the Asset Master..
    3. Make sure profit center is entered into Cost Center master.
    4.Check the steps where you assign the GL accounts to the splitting rules.
    suggest you to go through the below mentioned links
    Balancing Field "Profit Center" in line item 001 not filled
    Balancing field "profit center" in line item 001 not filled
    GLT2201 - Balancing field profit center in line item 001 not filled
    Balancing field "Profit Center" in line item 001 not filled
    F-51: Balancing field "Profit Center" in line item 001 not filled
    Balancinf field profit center in line item 001 not filled
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  • Issue while doing material posting through Usage Decision

    Hi all,
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    Inspection Lot  10000604689
    Material        1730PCPBS.0031
    Batch           QP611097      GQ02
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    To unrestricted use                     2,098
    To sample usage                         2
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    Deficit of SL Stck.in qual.insp 1,638 NO : 1730PCPBS.0031 62GQ GQ02 QP611097
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    Diagnosis
    Shortfall below the specified stock level or quantity amounting to 1,638 NO.
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    If the message is an error message (E), the above is not allowed.
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    Procedure
    In the case of a warning message, check the quantity entered.
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    I have checked that quantity 2100 of material 1730PCPBS.0031 is in QI stock. Kindly advice what is the issue and why we are getting the error?
    Regards,
    Brijesh

    Hi Brijesh,
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    Regards,
    Anand Rao

  • Issue while posting through MIRO

    Hi,
    I am posting through MIRO.
    I am using two POs in MIRO from different contracts.
    When I add them for one PO amount and QTY feild is filled up properly,
    but for other the value of QYT is filled into amount and qty field.
    Could any one help in solving this issue.
    Thanks in advance.

    Hi
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    When you allocate the first PO, everythin is fine
    when you subsequently allocate the second PO, the vale and qty fields are not populated properly.
    Is this right?
    What values are going to the qty and value fields of second PO?

  • Recepient type not updating in entries posted through F-54

    We have a scenario as follows
    1. First we have made advance payment to vendor through F-48 with TDS posting.
    2. We received 4 bills against these advance payment and we booked these bills with TDS posting.
    3. We have used F-54 T-Code to nullify the TDS effect in FB60 and to process open item of FB60 against the advance payment through F-48.
    Now it working fine while open item clearance ( there is 1Re.diff which we are rounding up).
    But while making TDS payment through J1INCHLN two of the entries posted through F-54 ( KA Documents ) are not getting picked up as a result there is differenc between total TDS payable & what is shown in J1INCHLN open items.
    On checking in WITH_ITEM table it is found that Receipent type is not updating for these particular entries.
    Additional observation : we have three tds codes for basic, surcharge & E cess and three seperate line items are generated for each while posting TDS. It is observed that for these particular invoices as the amount is in hundreds the E cess amt is less than Re.1 so the only two line items are created i.e. Basic & Surchage.
    Please guide us for solving this.
    Thanks & Regars,
    Chandrakant

    Hi,
    You have to check two tables :
    T059C for Receipient types for country IN whether all the WH Types are maintained for CO and OT.
    V_T001RWT - WHT Rounding Rules - normally it will be 100 for INR (min Re.1) you may have to change it.
    Regards,
    Sadashivan

  • Configuring double invoice check for vendor invoices posted through FB60

    Dear all
    Can anyone tell me how to configure double invoice check for vendor invoices posted through FB60.
    for miro documents..we can use Tcode OMRDC
    Is there any such tcode which can be used for configuring fi invoices for double checking..
    regards
    Expertia

    Dear Expertia,
    In FI,when checking for duplicated invoices, the system compares the
    following :Vendor, currency, company code, gross amount of the invoice,
    reference document number and Invoice document date.
    SAP Note 305201 clarifies this in a more details; please read it.
    The following fields must be identical for Duplicate invoice check
         Company code                              (BUKRS)
         Vendor number                             (LIFNR)
         Currency                                  (WAERS)
         Reference number                          (XBLNR)
         Amount in document currency               (WRBTR)
         Document date                             (BLDAT)
    If the document is having any one of the above filed different then the
    system does not consider it as a duplicate invoice.
    Also It will check duplicate invoice check in vendor master data and
    in posting key is there check box selected for sales related
    The setting you making in OMRDC i.e Materials management->Logistics
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    Invoices is only valid for MM and not  FI invoices posted via FB60/FB65
    You should check the F1 help on field "Chk double inv." (LFB1-REPRF)
    in the relevant vendor master record (transaction FK03).
    Please also check, that message F5 117 has been set correctly in the
    IMG using this path:
    Financial Accounting -> Financial Accounting Global Settings ->
    Document -> Default Values for Document Processing -> Change Message
    Control for Document Control For Document Processing
    Finally & mainly, go to the relevant posting key is defined as sales
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    I hope this helps You.
    mauri

  • Error while reversing document posted through cash desk

    Hi,
    I have posted a payment through cash journal/cash desk (FPCJ) and closed the the lot. Now I want to reverse the payment, however SAP function module 'FKK_CJ_PROHIBIT_RVRSL_OF_DOCS' is throwing an error - 'reversal not performed'. Does anyone know how to reverse a payment document posted through cash journal if it's lot has already been closed?
    Thanks,
    Suhas.

    HI Ravi,
    If a payment is posted through the FPCJ and lot is closed , payment cannot be reversed that's is standard functionality, there are lot of notes on this which gives you alternative steps that need to be taken.
    check note 644870.
    thanks,
    Vikram

  • Substitution for Interest Block, posting through FB75

    Hi,
    I have written a substitution according to which FI postings made through FB75 (Customer Credit Memo) must get an Interest block indicator.
    This means FI documents posted through FB75 must be excluded from Interest calculation while running Interest calculation program.
    The substitution written is as below:
    Prerequisite:
    BKPF-BUKRS = '1000' AND
    BKPF-BLART = 'DG' AND
    SYST-TCODE = 'FB75'
    Substitutions:
    Interest block         Constant value    A
    But, this substitution is not working properly. After saving this substitution when I try to post an FI document through FB75, document type DG (Customer Credit Memo), the interest block is not substituted.
    Please help me with this.
    Regards
    Rahul

    Hi Friends,
    Anybody has any clue on my query?
    Regards
    Rahul

  • Table for line items of budget document posted through FMBB transaction.

    HI,
    I am looking for Table of line items of budget document posted through FMBB transaction.
    There is table FMBL but it is breaking the amount into 12 parts.
    Thanks.

    Hi
    check the tables
    FMBDA   
    FMBDP   
    FMBDT   
    FMBH
    BPDK
    Regards
    Anji

  • Posting through AC_DOCUMENT_DIRECT_INPUT

    Dear consultants,
    I need to post debit/credit posting  through tcode FB01 .
    for this suggested F.M is AC_DOCUMENT_DIRECT_INPUT.
    Now I got data into database tables and need to post data through the above function module .
    could u pls guide me how can I acheive this ...
    becuase this Fm is very big and very confusion to understand.
    regards,
    Usha.

    Hi,
    Refer the program RFBIBL01,here you will find  how the fm being called.
    Regards
    Kiran Sure

  • Invoices posted through MIRO

    Hello All
    Does anyone know which table the documents posted through MIRO are held in?. I am particulery interested in the payment block flag. I have an invoice where it differs from the finance document
    I have already check tables BSIK and BSAK
    Thanks
    Prakash

    Hi Prakash,
    The Accounting document of the invoice created thru MIRO will be saved in BKPF and BSEG.
    AS

  • FI posting through BAPI

    Hi experts
    Can i have the sample program for invoice posting through bapi ,

    hi,
    Please refer this link
    BAPI_ACC_INVOICE_RECEIPT_POST Error
    or
    search on this
    https://www.sdn.sap.com/irj/scn/advancedsearch?query=invoicepostingthrough+bapi&cat=sdn_all
    thanks

  • Populate Tax Code in RKWA table while doing transfer posting through MIGO.

    Hi All,
    I have a requirement where for certain countries i have to pass the tax code to RKWA table while doing Transfer posting through MIGO transaction.
    For certain countries which i have to pass the Tax code to RKWA table, basically will not be having the tax code. For this reason im looking for BADi/User exits where i can update the RKWA table with the tax code. If the tax code is not derived, im getting the error as 'No tax information found'.
    Please suggest if any BADi/exits are available for this requirement.
    Regards,
    Santosh

    Check the following SAP notes:
    139176
    579241
    Regards,
    Indranil

  • Error when posting through F-28

    Dear Experts,
    I got error when i was posting through the Tcode:F-28. the information message was item 1 have not been activated due to inconsistance withholding tax. can any one tell me what could be the reason.
    Thanks in advance

    I understand withholding tax code in customer master data is changed between invoice posting and Payment posting.
    You may need to run RFWT0010 report. Please check OSS Note 480056

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