Print Program for Automatic Payment Run, Japan

Hi All,
We are moving from 3.1I system to 4.6C system and need some inputs on the DME file generation in case of Japan company code.
Currently, we are using the print program (RFFOM100) in 3.1 i system which generates the DME file. What should be the corresponding print programs / layouts in 4.6C system for Japan?
Thanks in Advance for your help.
Regards.

Hi Ganesh,
      If you are going for classic payment medium i think RFFOJP_T will fullfil your needs.
if you going for DME,
i think DME tree type for japan  is "WTRE" and tree is "DMEFILE_JAPAN".
check this in t.code "DMEE".
Thanks,
Rudra.

Similar Messages

  • Program for Automatic Payment Transaction

    Hi All,
    I'm trying to generate the spool for APP through F110 transaction.
    The program I configured is the standard program <b>RFFOEDI1</b> in the Printout/Data Medium tab.
    I'm sure that along with the above program, the program RFFOUS_C will also generate Remittance Advice.
    Currently I'm unable to generate the spool with any of the programs.
    To test it further, I did a proposal and executed both the programs <b>RFFOEDI1 & RFFOUS_C</b>. Then, I gave the Run Date and ID and gave the respective data.
    But, when I run it, it just comes up with a message "No Records Selected".
    I'm not able to analyze what the problem is. <b>There are lots of Open Items.</b>
    Pls suggest.
    Regards,
    Arun

    Hi,
    Please check in the path IMG-Financial Accounting-Accounts Rcble& Accounts Pyble-Business Transactions-Outgoing Payments-Automatic Outgoing Payments-Payment Media-Make Settings for Payment Medium Formats from Payment Medium Workbench-Adjust Note to Payee
    Regards,
    Kiron Kumar T.

  • Automatic Payment Run (F110) posting key setting

    HI,
    I would appreciate very much if someone could advice me about the posting key setting for Automatic Payment Run (F110).  Where is the config done?

    Hi Vani,
    I am of the view that the solution to this issue would be :-
    Moving  to  transaction FBKP.
    Posting Key Allocating/checking.
    Defination of each posting key and it field status
    PL ASSIGN POINTS, IF USEFUL
    Regards
    Vivek Sahni

  • F110 - Automatic Payment Run - Checks Will Not Print!!

    Hi!
    My client executed transaction F110 - Automatic Payment Run for a range of vendors (100000 - 599999).  He was able to execute the run but could not print checks and found out that payments weren't assigned check numbers in the system.  However, payments were cleared off the vendors account as if they had been paid.
    Please help!!
    Tks,
    Deki

    Hello
    did you assign a variant in the prinout/data medium tab?
    you need to assing the proper house bank, account id and check lot in this variant.
    If this is correct then you should get the check number assigned to the payment
    document #.
    Points will be appreciated
    Regards,
    Zaid Azam

  • Error in printing sum value of DME file in Automatic Payment Run

    Hi All,
    We are in the process of upgrading from R/3-4.0B to ECC6.0.
    In Automatic Payment run in transaction F110, when the spool is generated, the sum values is displaying in correctly.  It is displaying and printing as actual value/100 for example if total of all the line items is 1000000, the sum value displaying as 10000 and in words also prints as ten thousands.
    Kindly let us know how to fix the issue, if any one has come across with similar issue.
    Thanx & Regards
    Ashok

    Hi VVR,
    I got the following errors:
    Err     Message text
    003    Item is blocked for payemnt
    007    Error in creating the payment doc, read job log.....
    But if we have a look at the job log it is showing for all the 50,000 items... how to find where the problem is???
    thanks.

  • 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.

  • Payment File for each Payment method in Automatic payment run

    Hi Guru,
    For each payment method in automatic payment run, eg, ACH(Auto Clearing House), Bank Draft. etc. what kind of payment outbound file I need to take note to configure it, please advice me. Thanks.
    Regards,
    Kick

    Hi
    Please check the documentation in the link below. You will be able to get some help from them.
    http://help.sap.com/saphelp_47x200/helpdata/en/01/a9c24d455711d182b40000e829fbfe/frameset.htm
    Please let me know if it is useful. Also do award points if found useful.
    Karthik

  • 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 Reg

    Hi,
    I am not FICO Guy.But,I need to run the Automatic payment Run -F110.
    Can you please explain step by step procedure how to run the F110.
    Thanks in advance.

    Select run date and enter and identification
    Enter your parameters, company code payment methods, next pmt date, select the vendors and/or customers
    On the free selection screen you can select values which can be included or excluded
    On the additional log screen select the type of logging that you require along with the vendors and customers
    On the printout data medium screen youcan select a variant to use when running the program
    Save the parameters
    Schedule the proposal and run it
    After proposal has been created verify it is correct
    Schedule the payment run, run it and note posting orders carried out
    You can use SP01 to faciliate the printing of checks
    Then you can create a payment file - FCHX
    Print a list of checks from the check register FCHN
    The following link may also assist you...
    http://help.sap.com/saphelp_47x200/helpdata/EN/01/a9c079455711d182b40000e829fbfe/frameset.htm

  • Choose a house bank from Varinet for automatic payment

    HI Gurus,
    I am using multiple bank accounts. I have Ranking order defined for all those House bank and account ID's in FBZP. Also I have defined available amount as 999999999 for all those house banks and account ID's. Now I have below scenario.
    I have CIti Bank as ranked one in FBZP. I have a House bank of ICICI bank maintained in Vendor account. But I want to pay from SBI bank which I will maintain in my variant of Automatic payment program.
    Is there any way where I can overwrite the ranking and House bank maintained in Vendor master record to choose my own House bank for a payment run?
    Thanks in advance....
    Abhi.

    Hi,
    Here is the priority used for house bank selection in the same order.
    1. Document line item
    2. Vendor master data
    3. Bank Determination - Ranking order (FBZP settings)
    4. Edit proposal you can overwrite the house bank selected automatically
       by F110.
    In case none of these satisfy your requirements, you can implement BTE 0001810
    You could use the business transaction event (BTE) 00001810 to select the house bank via your own logic.
    (Please read the documentation of function module SAMPLE_PROCESS_00001810 how to implement such a BTE.)
    Hope this information helps.
    Kind Regards
    Soumya

  • Where to set payment method for automatic payment F110 ?

    hello everyone
    I need some help.
    user want to use payment method M(manual check) to pay by automatic payment F110.
    but when use f110 no transaction for that vendor (that vendor using manual check).
    where to config payment method for automatic payment F110

    hello everyone
    Hi ,
    APP program runs- on payment method please make setting for your payment method "M" in FBZP.
    Like Payment method for Country (OBVCU) & company code (OBVU)
    Make sure that you have assigned payment method (M) bank ranking & subaccount.
    Assign the payment method to vendor master data & invoice.
    After that check the invoice comes under your payment dates
    Hope after that if you run F110 picks up the open items
    Thank you
    Anil

  • 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

  • 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

  • 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 error

    Hi All,
    I need help in Automatic payment run (F110). When I am giving the house bank and Account ID… I am getting this error.
    Bank data for house bank xyz been deleted
    Message no. FZ 038
    Diagnosis
    Under the bank key specified for the house bank, no bank data could be determined.
    System Response
    The required processing cannot be carried out.
    Procedure
    Correct the bank key for the specified house bank or create the bank data for the presently valid key once more.
    Thanks in advance

    Check your bank account and bank keys in FI12 and FI03 respectively.
    Thanks
    Ashok

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