Posting to One time Vendor with SPL GL indicator

Hi Experts,
I want to post to a one time vendor using a special GL indicator.
Standard SAP does not allow this.
Is this possible through some round about way  without a very big z development.
if not then is there any other way out.
Regards,

Hi trivedy
You can post with Spl G/l to one time vendorsalso. What you have to do is that, create a Spl G/l for One time vendors. (i.e) In T.Code OBYR, create a Spl G/l for One time vendors and enter the recon a/c for One time vendors specified in One Time Vendors master data ad try to post. Hope this helps.
Regards
Rajaram

Similar Messages

  • Spl G/L posting to one time vendor not allowed

    Hi Gurus,
    I have a one time vendor and want to post special G/L posting for it.
    Is there a way of doing this? I have used the account grp CPD.
    I am also getting the error below:
    <b>spl G/L posting to one time vendor not allowed</b>
    Regards
    Karan

    Hi Karan,
    As rightly said by Madhu Spl G/l posting to one time vendor is not allowed in SAP
    Iam pasting the contents of SAP Note regarding this.
    Kamal
    29.03.2007 Page 1 of 1
    SAP Note Number 19638 - Special G/L transactions on one-time
    accounts
    Note Language: English Version: 2 Validity: Valid from 11.12.1996
    Summary
    Symptom
    Special G/L transactions, such as down payments, are not supported for
    one-time accounts. One-time accounts should be used for one-time
    transactions. For down payment, bill of exchange management or similar
    transactions for a customer or vendor, you can assume that this is not a
    one-time transaction. To post this type of accounting transactions in FI,
    you have to create a master record for the business partner.
    Additional key words
    Cause and prerequisites
    Conception of the one-time accounts.
    Solution
    Do not use one-time accounts if you want to post special G/L transactions.
    Source code corrections
    Header Data
    Release Status: Released for Customer
    Released on: 10.12.1996 23:00:00
    Priority: Recommendations/additional info
    Category: Consulting
    Main Component FI Financial Accounting
    The SAP Note is release-independent
    Related Notes
    Number Short Text
    867348 Preventing down payment request for one-time customers
    814038 SAPF103: you cannot post to one-time accounts (F5265)

  • :Due On" date field missing while posting with Spl GL indicator for vendor

    Hello,
    I am facing a problen while posting a n entry with spl GL indicator in fb01, the issue is Due On date field is missing in the screen.
    I am posting an spl GL transaction for a vendor thro FB01 and after entering the posting key 39, vendor code and spl Gl indicator in line item and in next screen, the "Due ON" date field is not appearing.
    Both vendor recon account and spl GL alternative account use same field status group and  checked the field status group , the due date, payments terms are made optional.
    The strange thing is, when I use the same vendor with Spl GL indicator "A" , the Due ON field is missing in next screen, and when I use spl indicator " B" , for same vendor, Due On date field is appearing.
    Is there any specfic field status setting for DUE ON date field for Spl GL indicator wise? or please help me how to bring due on date field in the screen when posting spl GL transaction?
    Please help me on this.
    Regards
    Surya

    Hello Surya,
    To make field baseline date for payment (BSEG-ZFBDT) ready for input for
    posting the down payment, the following Customizing setting is
    necessary:
    Financial Accounting -> Accounts Receivable and Accounts Payable ->
    Business Transactions -> Outgoing Payments -> Automatic Outgoing Payment
    -> Payment Method/Bank Selection -> Configure payment program -> All
    company codes -> double-click on corresponding company code -> under
    Customer -> 'Sp. G/L transactions to be paid' the letter A should be
    entered.
    The field "Due On (BSEG-ZFBDT)" cannot be controlled with field status.
    It is contolled by field attribute of screen painter (Tcd: SE51).  If
    you look at element attribute for "Due On" field, a flag for required
    entry is activated.  In this case, field status has no control over
    the field.
    As of release 3.1G, field BSEG-ZFBDT is hardcoded in most FI screens
    to be mandatory and cannot be influenced by any field status
    changes. This situation is only valid when posting with special G/L
    indicator (ie PK 29/39).
    SAP development team has determined that this is a critical field.  The
    reason behind this is that this special GL screen and the data entered
    here are very important to many other programs. This data affects
    liabilities and receivables where due date is necessary almost
    everytime. Thus, we changed this field in this screen in order to
    prevent problems in many other areas. The reason is explained further in
    note 95079.
    545944    FAQ, down payment, tax code, baseline date
    above Field is controlled through SE51 only.
    Tcode : SE51
    Program (screen)     SAPMF05A
    Screen number        304
    Eliment list  press display.
    special attributes.
    BSEG-ZFBDT - Required.
    Other options are below.
         The attribute "Input" can have the following values:
         o    Not possible
             The input/output field cannot be supplied with an input - that
             the screen element can only be used for outputs.
         o   Possible
             The input/output field can be supplied with an input at runtime
             the remainder of the transaction, an input is not required.
         o   Recommended (Optional Field)
             The input/output field should be supplied with an input at runt
             The system, of course, does not check immediately whether there
             been an input. During the remainder of the transaction, however
             input is necessary.
             To mark this kind of target field, the input template starts wi
             special character that is represented in the Screen Painter by
             question mark ('?'). The question mark will be suppressed only
             the field is in a table control or a step loop.
             You use the "target field", for example, if inputs cover severa
             screens and only at a later stage are subject to a common check
    o   Required Field
        The input/output field must be supplied with an input at runtime.
        The system checks this property immediately, and very definitely
        when the event is processed  (PROCESS AFTER INPUT).
        So that such a required field is marked accordingly, its input
        template must begin with a special character that is represented in
        the Screen Painter by a question mark ('?'). The question mark is
        suppressed only if the field is in a table control or a step loop.
    I hope above information will resolve your issue.
    Kind Regards,
    Fernando Evangelista

  • PAN number for one time vendor

    Hi,
    At the time of transaction against one time vendor with deduction of tds at the time of document saving
    system are giving error "PAN number not available'"
    Can any body infm me where we should update the PAN number for one time vendor as if we update the PAN number in one time venodr cin tab then for every one time vendor system is showing the same number ,
    So pl suggest where we should maintain PAN number of one time vendor
    I am in ECC6
    Regards
    Vijay

    Hi,
    In the Creation of Vendor master data, CIN Tab shows onthe menu bar ther you will assign the PAN number .
    If the TAB is not shown , assigned in the t code OMT3E select user screen reference and select New Entries and maintain the user and the counry.
    May I hope this will helpfull
    Regards,
    Kanike

  • Are one time vendors supported in SRM ( replicated from ECC backend to SRM)

    Dear All,
    I have noticed in various past posts that one-time vendors are not supported in SRM.
    Is this still the case fo SRM 5.0 and ECC 6 backend set?
    Why is it that one time vendors cannot be replicated to SRM?
    If we create a one time venor manually in SRM, can we use this vendor in shopping carts/POs?
    Thanks

    Hi
    As far as I know, Yes correct.. one time vendors are not supported in SRM.
    It's functionality of R/3 and ECC Backend systems only.
    Contract vendors / Purchase Info-records related vendors are still supported in SRM.
    Hope this will help.
    Regards
    - Atul

  • FI doc post (IDoc FIDCCP02 - One Time Vendor entry)

    I am posting an FI document and entering a one time vendor. In segment E1FISEG, field HKONT I enter 'ONETIME' (one time vendor). In segment E1FISEC, I enter the one time vendor info. When I create the IDoc, I get error 'No account specified in item 0000000001'. Any idea where this account comes from? It works fine when I create an FI doc with a one time vendor using trans FB01 manually.

    Hi Ray,
    what's about struc. E1FINBU
    and field E1FINBU-LIFNR ?
    i think you do'nt fill E1FISEG-HKONT for vendor-line!
    regards Andreas

  • Print out of RFQ with One Time Vendor

    My customer wants print out of RFQs with one time vendor.
    As per my understandings as like other vendors this one time vendor data is not stored in any table.This data is in table ADRC. And for one time vendor no master data is there.I can see this one time address in particular RFQ.
    Now, my customer wants this one time vendor address to be printed in all RFQs.
    Is any body come across this scenario ever ?Please guide my it is urgent.
    With Best Regards,
    Rajesh

    Hi,
    The vedor(OTV or Regular vendor) will be decided after the price comparision only.
    Once the OTV (account group:CPD/CPDL) is finalised as the final vendor for procurement create a new vendor master record (With A/c group:0001) and maintain Inforecord and source list and create PO.
    Maintain all the conditions in the Inforecord from the quotations (you have the update info option from price comparision itself)
    regards,
    Kannaiah Naidu

  • Use of bank chains with one-time vendors

    Hi, I want to use bank chains for one-time vendors; however, there are no fields available in which to enter the intermediary bank details when creating the invoice.
    Is it possible to use these two features together, and if so, how?
    Thanks for any advice you can give.

    Hi Ravinagh, many thanks for the information.
    I've tested your proposed solution but unfortunately can't get it to work.
    I've activated the delivered scenario 0003 (RECIPIENT BANK ORIENTED) & created a general bank chain as follows via transaction FIBB:
    In the Bank Chains screen, BankChn ID = 00001, No. = 1, Typ = 2, Corr. ctry, Corr.Bank key & Bank acct all completed with intermediary bank details.
    In the Assignment screen, Crcy = USD, Sender Ctry = GB, Sender Bank Key - 200000, Recipient Ctry = KY, Recipient Bank key = blank, PmntMthSu = blank, BankChn ID = 00001.
    I then created a OTV invoice with bank details of Bank Country = KY (& valid bank key & account).
    The payment program selects the invoice to be paid using currency USD, house bank which uses bank key 200000 and uses the bank details as entered in the OTV.  It pays the invoice but no mention is made in the log of intermediary banks, and when I check table REGUH there are no entries in the intermediary bank fields for the payment proposal.
    I'd be grateful for any further suggestions!

  • DME File Problem with One Time Vendor

    Hi SAP Gurus,
    I created a payment method Y and assign RFFOM100 and used this to do postings for one time vendors.
    Then I ran automatic payment  for One Time Vendors, pertaining to 5 different vendors. Payment run was successful, however the DME file generated shows 5 payments but all payments shows 1 single payee name..
    Is there any configurations that I might have missed?
    Appreciate your assistance.

    Need assistance

  • Error message in case of One time vendor in MIR7 and MIR4.

    Hi,
    We have a requirement where we need to give a warning message when an invoice document is parked in case if it is a One time vendor and bank details are missing. It should be an error message if user is trying to save it as completed or posting the document. We have already found a BADI INVOICE_UPDATE method CHANGE_AT_SAVE for giving error / warning message but we also want the same to be appeared in the popup coming when we press Messages button in MIR4 screen same way as standard messages are shown. I know that there is a table T_ERRPROT which need to be populated in order to show the messages in the popup window but could not find any appropriate user exit or badi to populate this table. Any suggestion or solutions are welcomed.
    Thanks and Regards,
    Jaideep,

    Hi,
    in badi HEADERDATA_CHECK you have available as input parameter I_RBKPV.
    do something like:
    * If there is any error do not allow posting
        DATA: gt_errtab    TYPE TABLE OF mrm_errprot,
              gs_errtab    TYPE mrm_errprot.
        CONSTANTS:     c_errprot(23)   TYPE c VALUE '(SAPLMRMF)TAB_ERRPROT[]'.
        FIELD-SYMBOLS: <fs_errprotj_dt> TYPE table.
        ASSIGN (c_errprot) TO <fs_errprotj_dt>.
        REFRESH gt_errtab[].
        gt_errtab[] = <fs_errprotj_dt>[].
        DATA: c_okqx(17)   TYPE c VALUE '(SAPLMR1M)OK-CODE'.
        FIELD-SYMBOLS: <fs_okqx> TYPE ANY.
        ASSIGN (c_okqx) TO <fs_okqx>.
        IF NOT gt_errtab[] IS INITIAL.
          READ TABLE gt_errtab INTO gs_errtab WITH KEY msgty = 'E'.
          IF sy-subrc = 0.
            CASE <fs_okqx>.
              WHEN 'BU'. "POST
    * This is optional: you can either search for a particular message or
    * do not allow any error message
    * Here search for the message triggered in badi INVOICE UPDATE
                READ TABLE gt_errtab INTO gs_errtab WITH KEY msgty = 'E'
                msgid = 'ZXX' msgno = '030'.
                IF sy-subrc = 0.
                  CLEAR <fs_okqx>.
                  MESSAGE s030(zxx). "While errors exist document will not be posted
                ENDIF.
            ENDCASE.
          ENDIF.
      ELSE. "THIS IS THE NEW PART
       IF i_rbkpv-YOURBANKFIELD IS INITIAL. "This is the New part
            CASE <fs_okqx>.
              WHEN 'BU'. "POST
                  CLEAR <fs_okqx>.
                  MESSAGE s031(zxx). "Please fill in bank details
            ENDCASE.
       ENDIF.
      ENDIF.
    Best regards.
    Edited by: Pablo Casamayor on Jun 2, 2009 6:39 PM

  • Report on one-time vendor

    Hello Experts,
    Is there a standard report or a way to get the payment information with address details on a one-time vendor account? As the addresses keep changing for this vendor account every time a check is printed for them, it is important to track the details. Any input is appreciated and rewarded.
    UV

    Hi UV
    In the payment proprosal and payment run you will see the details.
    Whe you run S_ALR_87012103 - List of Vendor Line Items  with option one time vendor you see the Name adresses, This is the information you fill in the posting!
    Paul

  • Vendor down payments for one time vendor

    Hi There,
    I am not sure why this is happening, but when we try and post a down payment to a one time vendor, it comes up with the error F5 265.
    When we do this for a normal Vendor it is OK.
    Has anyone come across this?
    Is there some special config required to activate one time vendors for Down payments?

    Special GL transactions (like down payments) are not allowed for one-time vendors.  Please refer to the following SAP Note.
    https://service.sap.com/sap/support/notes/19638

  • One Time Vendor

    Hi All,
    I am trying to work out whether there is any standard functionality in SAP that will aid the control of one time vendor usage for the following areas.
    1. During posting of an invoice against one time vendor account we would like to block the invoice automatically with a specific payment block so that the vendor details can have a second verifcvation.
    2. A standard reprot to show usage of one time vendors to identify if the same details are being repeatedly used as a one time vendor.
    Any assistance would be great.
    Thanks
    Chris

    Hi,
    there is no std block functionality avl for your senario. you can use the SAP std user exit and get this one done.
    Thanks,
    Suresh

  • One Time Vendor-Transactions Need to be Transferred to Major Vendor Acct

    A. One time Vendor Account is 50001.
    B. Some of major Vendor entries have been Uploaded to One Time Vendor.
    C. Although Balances Tally, in the financial Statements but AP Vendor Balance is messed up.
    D. Major / Normal Vendors are - Polestar (Vendor), GAC (Vendor), etc.
    How to transfer these entries to Normal Vendor Accounts from One Time Vendor, when Financial Statements for the year have been printed and transactions are posted.
    Urgent Help requested.
    Thanks.
    Message was edited by: Bhatia
            Bhatia

    I have done the following -
    1.Transaction Code used - F-51
    2.Checked the option Transfer with Clearing to transfer entries from One Time Vendor to Full time Vendor; entries being KR and KG <b>NOT</b> KZ.
    3.For <b>KZ</b>, with the same transaction code, I opted for Outgoing Payment Option.
    Would anyone let me know, whether choosing Outgoing Payment for KZ for such a case is justified?
    Rest F-51 was used for transferring the amount in a whole, but not invoices individually.
    Could somebody suggest a solution to this kindly?
    Thanks.
    Message was edited by:
            Bhatia

  • Processing Refund checks from One time vendor

    Hi Gurus
    I have an issue related to refund checks from vendors with whom we have very few transactions. My question is that if I have refund check from a vendor but do not have any subsequent payment to be made, how should I enter this check in the system? If I enter a credit memo, it should reduce the subsequent payments to the vendor but what to do if there is no subsequent payment?
    Thanks for all the help in advance.
    Regards,
    Shalu

    Hi
    Thanks for your reply. I tried to follow the instructions but could not process the entries. Let me enter the steps I am following:
    in Trannsaction F-43, I am debiting vendor AAA (not expense account but actual vendor number) using posting key 21 and crediting the expense GL account (posting key 50). So my vendor has a debit balance and the expense account has credit.
    In the second step, I am again in F-43 and I credit my vendor AAA (posting key 31) and debit the bank GL account (posting key 40). But I am getting error that document spliting is active and Item category 04000 not allowed in accounting transaction 0300/0001
    I am not sure if I am doing the correct entries or the scenario is clear to me. The exact need is that if there are no future payments, how do we handle any refund checks from the vendor that could be a one time vendor or any vendor with whom we have limited transactions.
    I appreciate your help.
    Thanks,
    Best Regards,
    Shalu

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