Reconciled transactions appearing in customer aging report

Hi all,
I have 2 Invoices amount to 2000 rs say 1000 rs each.I received a payment of 1900 rs i.e a 100 rs less for the 2 invoices.My accountant has recorded this in the following manner that he has selected both the invoices and an "On account" payment of -100, so the entire transaction got balanced.As a result both the invoices are closed as well.
Now my question is ....can we treat this a reconclied trasaction or an Un-reconciled trasaction.Will these both invoices appear in the customer aging report if we select "display reconciled trasactions" option.
Regards & Advance thanks,
Mobin

Which SAP B1 Version and Patch is under use at your end ?
There were issues in SAP B1 regarding reconcilliations in versions prior to 2007 series.
Samir Gandhi

Similar Messages

  • Reconciled amounts appears in customer  aging report

    Dear all,
    When we take aging report for reconciled transactions,reconciled amounts appears in
    aging days ,the invoices which are reconciled still showing in Aging report  (Suppose we have ar  invoice in 0-30 days and its payments (journal entry ) made in 30-60 days it's
    already reconciled)
    Why it is showing in reconciled aging report ?
    I am using B1 2007 Pl 17
    Regards
    Saurav Gupta

    Hi Saurav Gupta,
    the ageing report allows you to pinpoint open transactions at a particular date.
    Consider this:
    System Date (Today) : 08.08.2011
    Ageing date 01.08.2011
    Invoice Posting date: 20.07.2011, due date : 31.07.2011
    Payment Date for invoice 02.08.2011
    You allow documents to be considered up to the ageing date.
    -> The invoice above, although fully paid, will be shown as overdue since you are ignoring all transactions after the ageing date. As far as the report is concerned, the payment hasn't happened yet.
    With these options, the invoice will be shown as well:
    System Date (Today) : 08.08.2011
    Ageing date 01.08.2011
    Invoice Posting date: 20.07.2011, due date : 31.07.2011
    Payment Date for invoice 02.08.2011
    You allow documents to be considered up to the system date & choose to display reconciled transactions.
    -> all documents up to today will be taken into consideration, meaning that both the invoice & the payment are shown in the report.
    To see the true open documents today, choose these parameters:
    System Date (Today) : 08.08.2011
    Ageing date 08.08.2011
    You allow documents to be considered up to the system date & have all tickboxes unchecked.
    Also, please upgrade your system at the earliest convenience, you are using a very old version.
    All the best,
    Kerstin

  • SGD Exchange Rate Difference JE appears in Customer Aging Report

    Dear Experts,
    SAP Version: 8.81
    Local Currency: SGD
    We perform Exchange Rate Difference for a USD BP to calculate the unrealized gain/loss during month-end, JE created successfully.
    Next, we go to Customer Aging Report and select this USD BP.
    When i choose to view the Aging Report in Local Currency, the USD Invoice will appear in SGD + Exchange Rate Difference JE in SGD, the total balance can appear in SGD with no problem.
    When i choose to view the Aging Report in BP Currency, the USD Invoice will appear in USD + Exchange Rate Difference JE in SGD, i can't see the total balance as it is appeared as xxxxx.
    Above is the behaviour in 881.
    Last time in SAP 2005, when i choose to view the Aging Report in BP Currency, the Exchange Rate Difference JE in SGD will not appear, therefore i can see the total balance in USD.
    What is your opinion about the behavior in 881? Will you consider it as design or issue?
    Thanks.
    Regards,
    Lay Chin

    Dear all,
    This problem is no longer there when upgrade to 881 Patch 08.
    Regards,
    Lay Chin

  • Reconciled amounts appears in vendor aging report

    Dear all,
    When we take report for reconciled transactions,reconciled amounts appears in
    aging days(Suppose we have ap invoice in 0-30 days and payments made in 30-60 days it's
    already reconciled)
    Why it is showing in reconciled aging report ?
    Jeyakanthan

    Dear,
    would like to recommend you to refer to the following note: 1228363-Business Partner Balance does not match journal entries。
    In any SAP Business One version lower than 2007, 2 separate
    reconciliation engines were employed. One reconciliation engine worked
    on the marketing document level, where partial reconciliation was
    supported & the other worked on the journal entry level, where only
    complete reconciliation was supported.
    This duality led in some instances to reconciliation inconsistencies
    which were initially highlighted with SAP Business One version 2004
    patch level 29, where the red message 'Business Partner balance does not
    match journal entries' was displayed when running the ageing report by
    sales documents & inconsistencies were detected.
    In the year end closing guides (available for download from the
    Documentation Resource Centre) SAP have always recommended to run the
    ageing reports by journal posting.
    In 2006, SAP published note 752261, now retired, documenting the system
    behaviour & offering a series of 'Select' queries to aid in
    reconciliation inconsistency analysis. These queries were an excellent
    tool but now SAP can offer a faster, better & more accurate solution.
    In SAP Business One 2007 A & B the reconciliation engines have been
    unified & partial reconciliation on journal entry level is now fully
    supported. Any database that is upgraded from a lower version undergoes
    a complex series of reconciliation upgrade algorithms, where any
    reconciliation inconsistency is identified & a reconciliation upgrade
    (RU) journal entry is automatically created. This RU journal does not
    document any accounting transaction, but simply creates an update in the
    'Balance Due' column, thus notionally re-openeing previously
    inconsistently reconciled transactions.
    These RU journals are then available for internal reconciliation.
    Please consult the 2007 Internal Reconciliation Upgrade(IRU)Landing
    Page:
    Channel Partner Portal -> Solutions -> SAP Business One -> Hot Topics ->
    SAP Business One 2007 Information Center -> New Single Reconciliation
    Engine- A single engine reconciles the difference and eliminates the
    previous reconciliation issue. More
    Click on 'More' to be directed to the IRU Landing Page.
    Here you will find 'How-to-Guides' in all supported languages, links to
    Expert Training Sessions & links to other pertinent information.
    You will also find available for download 2007 A & B upgrade simulation
    tools. SAP recommends to subject a database that is planned to be
    upgraded
    This upgrade simulation tool employs all internal reconciliation upgrade
    algorithms & the application will display in the 'Internal
    Reconciliation Upgrade Audit Trail Report' if a database is affected by
    inconcistencies.
    Hence, if the message 'Business Partner Balance does not match Journal
    Entries' is encountered, proceed as follows:
    Option 1:
    Upgrade database to SAP Business One 2007 & internally reconcile any RU
    journals.
    Option 2:
    Go to the IRU landing page & download the 'IRU pre-upgrade tool' either
    for version 2007A or 2007B, depending on your localisation. Follow the
    installation instructions & after successful installation & simulated
    upgarde of the database, analyse any inconsistencies appearing with the
    help of the How-to-guide. Should a type of inconsistency not have a drop
    down arrow & be described as 'Balancing upgrade journal transaction',
    the comapny accountant may decide to write it off, should the amount be
    insignificant or, if the amount is not insignificant, please log a
    support ticket with the component:
    SBO-ADM-UT-IAT
    Step by step detailed instructions including screenshots of how to
    install the sim-tool & what it does can be found on this wiki page:
    https://wiki.sdn.sap.com/wiki/display/B1/BPaccountBalancedoesnot+matc
    chJournalEntries
    Thanks & Regards
    Apple

  • Customer Aging Report(without reconciled transaction)-what types of documents are considered?

    Hi Friends,
    As per my knowledge,Customer Aging Report consider only those documents(ar invoice,ar downpayment,incoming payment-payment on a/c,ar credit memo) which are open and showing balance due and standalone JE against Customer.
    As I cross checked,I found those standalone JE where Customer and round off account are considered as debit,credit are not considered by 'Customer Aging report'.
    So,I just want to know what are all the logic based on which SAP B1 standard report 'Customer Aging ' (without reconciled transaction ) consider the documents????

    Which SAP B1 Version and Patch is under use at your end ?
    There were issues in SAP B1 regarding reconcilliations in versions prior to 2007 series.
    Samir Gandhi

  • Invoice 29869 is appearing in the aging report though it been fully paid up

    hi ,
    I have problem that posting below
    Invoice 29869 is appearing in the aging report though it been fully paid up
    can any one tell me what is the reason
    Regards
    Srinivas
    Edited by: Darius Heydarian on May 9, 2008 2:33 PM

    Please check if you are running the Aging Report from the By Journal Posting tab and also checked Display Reconciled Transactions
    Suda

  • Customer aging report - receipts also displayed

    hi all,
    Customer aging report is showing all outstandings &
    also receipts from customer,
    we want only customer outstanding in intervals of days ?
    Jeyakanthan

    Hi Jeyakanthan,
    I take it you are using a version prior to 2007.
    When you run your ageing report by journal entries, B1 will show you the full amount as due for all partially paid invoices & also, in another row, the actual partial payment. This is due to the 2 different reconciliation engines. You need to manually reconcile the invoices with the partial payments, then they will no longer appear in the ageing by journal entry.
    To determine which payments belong to which invoice, you could run the report by marketing documents. There B1 will show you the remaining outstanding amounts only, from which you can deduct the payment(s) & thence reconcile the correct documents.
    As a rule, SAP recommends to only run the ageing reports by journal entry.
    If you are looking for more info on reconciliation, please have a look at the IRU landing page:
    http://service.sap.com/~sapidb/011000358700000380562007E
    All the best,
    Kerstin

  • Customer Aging Report Query (without invoices offset by incoming payment)

    Hi All Experts,
    May I know is there any field from JDT1 mention which invoices is already offset by the Incoming payment or AR Credit note? Because I do not want those invoices that already offset by incoming payment appear at the Customer Aging Report. Meaning, the data appear in the Customer Aging Report is only show those invoices that yet to pay by the customer. Kindly give some advise on it. Thanks a lot.
    Thanks and regards,
    Angie Ng

    Hi David,
    Thanks for your suggestion. I have try it, but all of my JDT1.IntrnMatch is in 0 value. Meaning in my situation it is none of any reconcilliation making. But from my SBO window, i manage to see that actually this incoming payment is pay for which invoices. Problem is it is difficult for me to do the possiblity logic that might be happen in my Customer Aging Report Query. Please give some advise that how to show only those invoices yet to pay? The current query will show all the data no matter the invoices or credit memo has been offset.
    select OCRD.cardcode 'Supplier Code',OCRD.cardname 'Name',sysdeb  'Debit GBP',syscred 'Credit GBP',
    case JDT1.transtype
    when '13' then 'INV'
    when '14' then 'AR CN'
    when '24' then 'INCOMING'
    else 'Other'
    end 'Type',
    Ref1,
    fccurrency 'BP Currency',
    CONVERT(VARCHAR(10), refdate, 103)'Posting Date' ,
    CONVERT(VARCHAR(10), duedate, 103) 'Due Date',
    CONVERT(VARCHAR(10), taxdate, 103) 'Doc Date' ,
    CASE
    when (DATEDIFF(dd,refdate,current_timestamp))+1 < 31
    then
    case
    when syscred <> 0 then syscred * - 1
    else sysdeb
    end
    end "0-30 days",
    case when ((datediff(dd,refdate,current_timestamp))+1 > 30
    and (datediff(dd,refdate,current_timestamp))+1< 61)
    then
    case
    when syscred <> 0 then syscred * - 1
    else sysdeb
    end
    end "31 to 60 days",
    case when ((datediff(dd,refdate,current_timestamp))+1 > 60
    and (datediff(dd,refdate,current_timestamp))+1< 91)
    then
    case
    when syscred <> 0 then syscred * - 1
    else sysdeb
    end
    end "61 to 90 days",
    CASE
    when (DATEDIFF(dd,refdate,current_timestamp))+1 > 90
    then
    case
    when syscred= 0 then sysdeb
    when sysdeb= 0 then syscred * - 1
    end
    end "90 + days"
    from JDT1,OCRD where JDT1.shortname = OCRD.cardcode and cardtype = 'c' and intrnmatch = '0'
    ORDER BY OCRD.CARDCODE, taxdate

  • Customer ageing report for fbl5n

    hi all,
    I want to develop an customer Ageing Report in abap  to calculate the net due date  which is similar to the Tcode fbl5n but the problem is functional consultant told me about this tcode  and there is no such information regarding the specified tables which are to be used. I had searched in SDN also but i did not got the desired information.
    regards,
    karthik
    Edited by: k.vinu.karthik on Jul 23, 2010 7:21 AM

    Use the development tools available to you - the transaction and a sample account is all you need.  Debug, ST05, SE30, etc....

  • Problem in Logic for Customer Ageing Report

    Hi,
    I am developing a Customer Ageing Report in which i am facing a problem i.e. i am taking tables BSID,BSAD in which i ham taking the open items first and then i am using for all entries in it on the open items and i had debugged it and data picking is correct .
    But the MAJOR problem comes when the data is stored in the respective coloumns i.e. 0-30 ,31-60-61-90 etc.. Currently i am comparing the code with the Standard Report i.e.S_ALR_87012126 it is not coming accurate...
    Is there any way to solve this problem ....
    Edited by: nav009 on Jan 8, 2010 11:39 AM

    Hi,
    First you need to calculate the Due date of the Transaction with the help of FM 'NET_DUE_DATE_GET'.
    Once you get the Due date calculate the value wf_nod  as wf_nod = p_budat - wf_due_date where p_budat is the date on which you want to run the ageing report and wf_due_date  is due date of the transaction.
    once you get this wf_nod write the following logic :
          IF wf_nod < 0.
            wa_tab-ndue = wa_data-dmbtr.
          ELSE.
            IF wf_nod <= pnod1.
              wa_tab-amt1 = wa_data-dmbtr.
            ELSE.
              IF wf_nod > pnod1 AND wf_nod <= pnod2.
                wa_tab-amt2 = wa_data-dmbtr.
              ELSE.
                IF wf_nod > pnod2 AND wf_nod <= pnod3.
                  wa_tab-amt3 = wa_data-dmbtr.
                ELSE.
                  IF wf_nod > pnod3 AND wf_nod <= pnod4.
                    wa_tab-amt4 = wa_data-dmbtr.
                  ELSE.
                    IF wf_nod > pnod4 AND wf_nod <= pnod5.
                      wa_tab-amt5 = wa_data-dmbtr.
                    ELSE.
                      IF wf_nod > pnod5.
                        wa_tab-amt6 = wa_data-dmbtr.
                      ENDIF.
                    ENDIF.
                  ENDIF.
                ENDIF.
              ENDIF.
            ENDIF.
          ENDIF.
        ENDIF.
    Collect wa_tab into it_tab.
    where pnod1.......pnod5 are the aging period as 30,60,90,180,365 etc.
    by this you will get correct results.
    Please get back to me if you need some more help on this.
    Regards,
    Nikhil

  • Customer ageing report

    Dear All,
    I checked in SCN and did not find answer for my query so posting here.
    This is with reference to customer ageing report,
    we are developing z report for customer ageing since we could not get customer specific report either through standard transaction or FDI4/FDI0 level.
    So, we are developing Z report for customer ageing.
    My doubt is, case where Customer is also a vendor
    in BSID table we can get customer open item balances. which means  due and not due balances. This is clear.
    but how to bring Net off  balances (customer open items - vendor open items)  into ageing report like (0-30, 31-60, 61-90, 91-120 & >120).
    Kindly share the ideas to get net off balances into ageing.
    also let me know how would I confirm that my zreport showing the correct values.
    Thanks in advance.
    Regards,
    Ganesh

    In simple terminology ageing analysis is
    Listing of amounts due to the business (by debtors) by splitting them into different categories based on how old the debts are.
    In SAP you could view the Ageing reports of Debtors in the easy access. The path being
    Financial Accounting-aAccounts Receivable-Information System-Reports for Accounts ReceivableAccounting-Customer Balances
    Thanks & Regards
    phaneendra

  • Regarding Customer ageing report logic in R/3.

    Dear
    Experts
    i  have requirement to develop customer ageing  report logic for input 30,60,90,180,360
    i  don' t have any idea hw can i take these values  in input& hw can i caluclate the   values
    i  searched in  sdn, i did n't get any  suitable answer..
    Regards
    Spandana

    Hello,
    Go to transaction code FDI4
    Select Form Type RFFRRD20 Line item analysis
    Give your form name and description
    Structure (Two axis) - as defaulted
    Click on Create
    You will have lead column
    Delete the rows 2, 3 and 4
    Double click on column 1
    Enter the customer numbers from 1 to 999999
    First column double click  (A)
    Slelect following values
    Due date analysis 1
    Days for net due date 0 to 30
    Give the short name, medium name and long text for the column.
    Repeat this step in next columns like 31 to 60, 61 to 90, 91 to 120 and 121 to 99999 days etc in other columns and select due date analysis 1. (B,C,D,E)
    Create one more column by way of formula. To create a new column you need to double click on blue line. Put formula add all five columns you have created above. (F = ABCDE)
    You prepare one more column with
    Due date analysis 2 (G)
    Now you prepare one more column add (F+G) = This will be total open items = over due and not due.
    Now go to FDI1 and prepare a report - assign the form created in FDI4 to the report.
    Characteristics you need to select are
    Account Type (Select Account Type as D for customers)
    Currency
    Customer
    Document Type
    Special G/L Ind
    Company Code
    Change the output types and options according to your requirement.
    Refer FDI2 and FDI3 for other standard reports created.
    Refer FDI5 and FDI6 for other standard forms created.
    Save your report and execute.
    Regards,
    Ravi

  • Customer aging report-needs the line items behind it

    We have created a Z report for customer aging report,is it feasible to get the drilldown against each aging bucket.I.e to call the FBL5n report to be displayed to see the line items behind each aging bucket.
    Regards
    Rekha

    If standard report does not suffice your requirement, then create your own.
    FOR vendor USE K in transaction code instead of D.
    Hello,
    The following example I have given is for customers.
    The only difference is in transaction codes. For customer you go to FDI1, for vendor you go to FKI1 (reports).
    For Customer you go to FDI4, for vendor you go to FKI4 for forms.
    Remaining all are the same.
    Hello,
    Go to transaction code FDI4
    Select Form Type RFFRRD20 Line item analysis
    Give your form name and description
    Structure (Two axis) - as defaulted
    Click on Create
    You will have lead column
    Delete the rows 2, 3 and 4
    Double click on column 1
    Enter the customer numbers from 1 to 999999
    First column double click (A)
    Slelect following values
    Due date analysis 1
    Days for net due date 0 to 30
    Give the short name, medium name and long text for the column.
    Repeat this step in next columns like 31 to 60, 61 to 90, 91 to 120 and 121 to 99999 days etc in other columns and select due date analysis 1. (B,C,D,E)
    Create one more column by way of formula. To create a new column you need to double click on blue line. Put formula add all five columns you have created above. (F = ABCDE)
    You prepare one more column with
    Due date analysis 2 (G)
    Now you prepare one more column add (F+G) = This will be total open items = over due and not due.
    Now go to FDI1 and prepare a report - assign the form created in FDI4 to the report.
    Characteristics you need to select are
    Account Type (Select Account Type as D for customers)
    Currency
    Customer
    Document Type
    Special G/L Ind
    Company Code
    Change the output types and options according to your requirement.
    Refer FDI2 and FDI3 for other standard reports created.
    Refer FDI5 and FDI6 for other standard forms created.
    Save your report and execute.
    From there you can put the cursor on customer number and from the menu goto -> line items then it will go for each line item wise..
    Regards,
    Nauma

  • Asking Exchange rate at the time of Customer aging report

    Dear All,
    I am facing one problem, when I am asking customer aging report the system is asking to enter exchange rate.but at the time of vendor aging is working fine does not asking any exchange rate,this problem happens only one specific  user, not for other users.
    In other users it is working fine.Do we need to do any configuration for that user for working this customer aging report.
    Please give solution as soon as possible
    Thanks advance.
    Regards
    Komanduri.

    We faced the same problem today.
    Finally, we found out the user accidentally selected the currency which we didn't set the exchange rate in the aging report.
    After the aging report is generated, we can change the currency in the upper left corner.
    If we didn't set the rate of that currency, it will keep asking.
    Even if we close the aging report and open again, it  will still ask for that currency before it could generate the report
    When we set the rate of that currency, it will not ask exchange rate again

  • Customer Aging Report

    Hi all,
    Our client requires aging report
    for a customer in the following format
    Customer Code,Name,0-30 Days,31-60 days,61-90 days,
    91-120 days,121-150 days,151-180 days,180 + above days,Row Total (all days).
    Condition:  By Aging date
    Thanks
    Jeyakanthan

    Hi Jeyakanthan,
    SAP Business One displays the relevant open receivables in four columns for the time interval for customer aging report.
    The fourth column includes open receivables for the days/months/periods prior to the first three columns. For more information please refer to the explanation for 'Time Intervals' field in Online help.
    Based on the testing in 2007 version, it is improved that there is one more column added there, which means if you set 'Time Intervals' as month, you may get five columns in aging report, the first four columns are for 4 months and the last column shows open receivables for the months prior to the first four columns.
    Regards,
    Van Xue
    SAP Business One Forums Team

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