Report Issue - Vendor payment's according to GL Account

Hi,
We want to develop a report, which shows Amount Paid to Vendor in behalf of Sub-contractor's GL Account...format like..
GL Account...............Business Area........Vendor...............Month............Amount Paid
Is there any standard report, which meets as per my requirement....
Plz guide...
Moderator message : Spec dumping not allowed. Search for available information. Thread locked.
Edited by: Vinod Kumar on Jul 26, 2011 11:13 AM

Hi Devendra,
How about using the check register (transaction code S_P99_41000101) and select the radio button 'with items paid'. The report provides details such as check number, payment document, vendor invoice and other relavant details per bank account.
Ashish

Similar Messages

  • Reports on vendor payments.

    Hi All,
    Could u please help, as to which reports to use for checking the following detais;
    1. Report on payment due against a vendor or vendors
    2. Report of payment made as on date to a vendor or vendors
    Regards
    Sappy

    1. Report on payment due against a vendor or vendors
    Reports are
    S_ALR_87012078 - Due Date Analysis for Open Items
    S_ALR_87012084 - Open Items - Vendor Due Date Forecast
    S_ALR_87012085 - Vendor Payment History with OI Sorted List
    S_ALR_87012105 - List of Down Payments Open On Key Date - Vendors
    FBL1N - Display/Change Line Items  (by selecting netduedate option)
    2. Report of payment made as on date to a vendor or vendors
    FBL1N - Display/Change Line Items (by selecting doc type of payment and date of clearing)
    S_P99_41000099 - Payment List
    S_P99_41000101 - Check Register (with details of open items cleared and cheque clearing date in case of cheque payment)
    Hope this will help u

  • Save automatic vendor payment run reference in clearing account assignment

    Hi,
    When executing an automatic vendor payment run, the run is identified with two fields:
    - Run date
    - Identification
    When the payments are posted, the vendors are cleared and an offsetting entry is posted onto the respective clearing account for each vendor. So if there is 100 vendors in the payment run, there will be 100 line items on the clearing account.
    When multiple payment runs are made on the same day, it is hard to separate the line items for each payment run, during the banking process. Each payment run appears with it's total payment amount on the bank statement and should be cleared against the corresponding line items on the clearing account and that's where it becomes hard to easily select the line items that add up to the payment amount.
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    Question closed due to lack of replies.

  • Report for Vendor payment with check no, reference

    Hi Gurus;
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    He enter the check no. in assignment field.
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    Is there any way or report in SAP.
    Thanks in Advance.
    Devendra Singh Chauhan

    Hi Devendra,
    How about using the check register (transaction code S_P99_41000101) and select the radio button 'with items paid'. The report provides details such as check number, payment document, vendor invoice and other relavant details per bank account.
    Ashish

  • Standard report on vendor payment

    I want a standard report on payment discrepancy and balance payment to vendor. Can sombody suggest ?

    Use Transaction Code   S_ALR_87012078
    After Executing this report u can selcet filed Account & Net Due from Layout
    Then Subtotal on Account ( Vendor ) , U can get report of due amount for 0,30,60,90 & so on & also u can get Not due amounts
    Regards,
    Umesh

  • Standard report for vendor payments made monthwise for acct grp

    My client needs a report with below fields and selection criteria based on the account group.:
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    Hi,
    Selection Criteria being Account Group..Better try creating with Report Painter.
    Regards
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  • In report S_ALR_87012085 - Vendor Payment History

    Hi
    Can some one let me know the relevance of of comitments (open item account) in this report?
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    Thanks
    Sweta
    Edited by: Sweta Sharma on Jul 7, 2010 11:41 AM

    Hi
    This report just shows the summery of vendor ageing. Do we have vendor ageing detailed report? I mean which can provide me invoice wise breakup of ageing also?
    Thanks
    Sweta

  • Agewise Outstanding Report for Vendors report

    Hi All,
    In SAP, Agewise Outstanding Report for Vendors report coming with Vendor Master Details  along with Address details in the report S_ALR_87012085 - Vendor Payment History with OI Sorted List  which is not really required. Hence we need to remove all un necessary details. We need only a signle line report for each vendor like below.
    Vendor Code Vendor Name  Due - 30  days  Due - 60  days  Due 90 Days  Due  120 days and more than above
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    Please help me in the above issue.
    Regards
    Vinu

    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)
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    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

  • Vendor payment

    Hi,
    we are preparing a report on vendor payment history.
    Vendor payment is done through F-52.
    Payment is made against the accounting document.
    I require table and field connecting the accounting docu no
    and payment docu no.
    regards,
    sathya

    Dear Sathya,
    You can trace the table by going into the respective TCode. Clicking on a relevant field (eg. amouont etc.), pressing F1 and clicking on Technical Information tab, and u'll find the table name and the field.
    Regards,
    Amish.

  • S_ALR_87012085-Vendor Payment History

    We are using the report S_ALR_87012085-Vendor Payment History with OI sorted Items.We could get the report ouput as we need with ageing 0-30,30-60 etc but with the exisitng layout as it flows over many pages and is therefore not printable.
    We need one line per vendor so they can easily print the report.
    Is there a way this could be meet by changing layout instead of getting big lines of address and all.Or anyother report meets this requirement.

    Hello,
    if this requirement does not suffice your requirement,
    You can create your own FORM using FKI4 - Refer FKI5 or FKI6 for your ference.
    You assign this FORM using FKI1 - Refer FKI2 or FKI3 for your reference.
    You can design your form more flexibily and incorporate formulas also.
    Hope this is informative.
    Regards,
    Ravi

  • Vendor Payment History through S_P00_07000220 T Code

    Hello
    We are on ECC 6.0 without application of any enhancement package.
    We are an indian company implementing project in india.
    Path of the above t code is Accounting->Financial Accounting->Accounts Payable->Reporting->Singapore->Vendor payment history.
    However, when i execute it, output of this report is blank.
    Do i need to do some kind of customisation for this report to display the output?
    What am i missing?
    Thanks.
    Vimal

    Hi Vimal
    Although your question is now several years old, I thought I should mention that S_P00_07000220 (Program RFIDSG_VENDOR_OPENITEM ) is a SAP "drop & drag" report.
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    For the line item section of the report (on the lower right), you must choose a specific vendor (not a node).
    No adidtional configuration or master data should be necessary to use this report, and although it was developed for a specific Singapore requirement, the report should also work for other countries besides Singapore.
    See example report below:

  • Re: contra customer payment to vendor payment

    hi gurus,
    i have a doubt i need to get a payment from customer rs100 and i need to contra that amount to my vendor rs500 and i want to pay the balance amount to my vendor rs400 through cheque.
    so is there any t.code to post this type of document? if anybody face this type of situation earlier give me ur inputs.
    points will be assign for useful answers.
    thanks in advance,
    kk.

    Hi KK,
    If you have Customer and as well as Vendor to the same party i.e. customer and vendor are same, you can do following.
    For that go to the common T.code  F-53  for vendor payment and select there Othere accounts  button in vendor open item selection level.
    next one more screen will appear ,there give the customer number and select account type D
    So you can pay the rest of the 400 and you can clear the customer also.
    I am giving some setting for vendor &customer same senario
    1) Create Customer Master Data for the Party.
    2) Create Vendor Master Data for the same Party.
    3) Go to tranaction for Change Customer, go to Control Tab and specify the Vendor No in Vendor field.
    4) Go to Payment Transactions tab, select the indicator "Clearing with Vendor".
    5) Repeat steps 3 and 4 for Vendor Master data change as well. Specify Customer No in Customer field of Vendor Master and also select the indicatro "Clearing with Customer".
    In FBL1N, select the "Normal Item" to see the open item of your vendor. As it is posted as a normal item in that vendor account
    In FBL5N, select the "Vendor Item" to the the vendor open item against selected customer.vise versa
    May be this information is useful to you
    If you have any doubt feel free to ask
    Regards
    Surya

  • Vendor Payments Report with WBS Elements

    Dear Expert,
    I am looking a report for Vendor outgoing payment against WBS Elements.
    Is there any Vendor Payments report with WBS Elements in SAP? I have seen FBL1N but WBS Elements field is blank.
    Thanks
    Samiee.

    Hi,
    You mentioned WBS Element is blank; so please check in any one sample payment documnet whetehr WBS is maintained and if yes find which field it is populated. For eg; sometimes people populate this information in the text or assignment field. If that is the case then change the layout accordingly in FBL1N.
    Regards
    Sreekanth

  • Vendor Payment Performance Report

    Hi,
    I am in the process of developing a report which should show details of Project, Service orders and purchase orders information. If end user inputs project/SO/PO/Vendor in the selection screen of the report, they are expected to see service orders and their related costs information. In the drill down they would like to see related Purchase orders information of the service orders including PO Quantity, PO Value, Invoiced Quanity, Invoice value, Invoice creation date, Invoice posting date, Invoice due date(Invoice date + Vendor Payment terms), Actual payment date to Vendor, Blocked invoices, Reason for blocking, Vendor info. Is there any Business Content reports, cubes, extractors availabe to serve my purpose ?  If this requirement can't be developed in one report please suggest what is the best way of doing.
    Eg of Report Result data:
    Selection screen can have Project, Service Order, PO, Vendor, Year & Month
    Report Results:
    Project     SO         PlannedCost
    WBS1      1001      5000 GBP        
    (5000 GBP contains 2000 GBP spent on labour cost + 3000 GBP spent on material which will  be paid to different vendors)
    If we drill down using Purchase Order it should show PO details for 3000 GBP and show blank for 2000 GBP
    Project    SO        PO     POValue   InvoiceValue    IVdate   IVPaiddate    IVDuedate    Vendor
    WBS1     1001    2000   -
    WBS1     1001    P123   1000          1000               1.8.09     16.8.09       15.8.09         CP
    WBS1     1001    P234      500           500               15.7.09    15.8.09      15.8.09         BP
    With the above info 100% ontime payment made to vendor BP, for CP it is not, Customer is interested to see this level of information.
    For 3000 GBP , for  all the purchase orders we need to show PO Quantity, PO Value, Invoiced Quanity, Invoice value, Invoice creation date, Invoice posting date, Invoice due date(Invoice date + Payment terms), Actual invoice payment date, Blocked invoices, Reason for blocking, Vendor info details
    Waiting for experts suggestions on the above requirement.

    Hi,
    You can create a report on this, but first have to findout in which all the tables your fields existing. Based on this you can build a report in r/3 or a FM which you can use it in Generic DS.
    Hev you gone thru standard Purchase DS which available in r/3 side. Just check them it might suits your requirement.
    also check the below docu for more info:
    http://help.sap.com/saphelp_470/helpdata/en/75/ee1fa755c811d189900000e8322d00/frameset.htm
    Reg
    Pra

  • Vendor payment report

    Hi gurus,
    I have a smalll requirement that , my client want to see the vendors payments list on material wise.
    I tried in FBL1N by selecting the cleared items. and also changed the layout by dragging the material field column in the report.
    but for the material columns showing blank in the report.....
    Is there any other way to see this type of report ( vendor payement list on matrial wise).... kindly suggest
    Thanks in advance
    Alex

    Hi Alex,
    Go to  the this t.codes.MB5S,ME2L,ME2M.May be you see the vendor payment list on meterial wise.
    Cheers
    Mastan Reddy

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