Reset Check Payment Clearing

Hello All,
Vendor Invoice is cleared with Check payment, but it has exchange rate differences posted during clearing.
User wants to reverse the invoice and posted a new invoice. I am unable to cancel the clearing using FBRA as exchange rate differences are posted.
User does want to reverse the payment document as the check is already sent to Vendor.
Please let me know how do I cancel the clearing with out reversing the payment document, so that original invoice can be reversed and a new invoice posted and cleared with payment document.
Thanks
Satish

Hi Satish,
If you issued a cheque manually for the payment document. We can do as mentioned below:
1. Cancel the cheque payment -FCH8 (It will reverse the payment doc.)
2. Then you reverse the invoice - FB08
3. Then you delete the cheque information for the cancelled cheque (Step-1) -FCHE
4. Afterwards you create a new payment doc. with reference to the reversed payment document
5. Post a new invoice
6. Clear the invoice with payment and again you create a manual cheque information for the new payment document  - FCH5 (Cancelled payment cheque no.)
Regards.
Mukthar

Similar Messages

  • Resetting Check Payment

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    Could you please explain me how to reset the check payments and than reverse the document.
    Thanks in advance.
    Regards,
    Dev Mahendra

    Hi ,
    Resetting check payment means making the invoice again as Open Item as it was earlier ,so you have to do resetting of payment and voiding of check
    Use tcode FCH8 for resetting your check payment
    thanks
    Deepa

  • Check payment entry reset

    How can i reset the check payment entry  I  tried  with  T-code FBRA  but  get the message
    Payment was posted with
    withholding tax.
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    Do you want to continue?
    if i click on yes the entry will get reversal
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    We have a similar problem. I will also like to know what the solution is. In ou case it is not a check payment but an electronic bank  payment. We also need to only RESET the payment entry but NOT reverse it. However now when we are trying to do FBRA, the system says exaclty the same message as posted in the original query here.
    regards,
    Suvarghya

  • Cancel Check Payment

    Hi
    While I am trying to Cancel check payment through FCH9 getting the following error message " Document is not purely a clearing document".
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    Did any one know any work arounds in canceling that payment document and voiding that check?
    Appreciate your suggestions
    Thanks
    Ravi

    Hi Morgan,
    My bad...I mentioned a wrong t-code.
    When I am trying to cancel the chek payment (FCH8) getting the error message  "Document 0100 20023456 is not purely a clearing document".
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  • SAP CHECK Payments

    Hello Experts
    We have current scenario in JD Edwards
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    Now if user accidently tries to reverse the payment document(which has the check number), JD Edwards system will not allow to reverse the payment document (OR)
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    I am looking at the SAP feature for the same. Appreciate if someone gives me more information on this.
    Thanks
    Raghuram

    Hi Amit and Anup,
    Thank you very much for your replies. In our company, the payment document/clearing document is the check number (We have'nt configured/implemented check lot), business is running from 1993 like this. In this case, can our company really acheive the functionality without configuring check lot.
    In EBS, I have configured  the algorithem  in a way that outgoing check/check number = payment documnet number.
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    Thanks
    Raghuram

  • Error -Account 'Down-payments clearing account' could not be found for area

    When I am trying to pass a down payment entry by debiting vedor and crediting bank with asset it is giving an error as follows.
    Account 'Down-payments clearing account' could not be found for area 01
    Message no. AU133
    Please help me to rectify the same.
    Thanks in advance
    Deepak

    HI
    Please pay attention at  the possible causes of message AU133:
    1. Error AU133:
       a) You have not defined a contra account for acquisition value postings in the Asset Accounting Customizing settings (Transaction AO90).However, this is required as of Release 4.6C because, as is the case for all other integration postings in Asset Accounting, invoice receipt postings have to be displayed in Asset Accounting via the new posting kernel to ensure an identical document
    structure.
       b) You have defined the account in Asset Accounting, however, it is not created in the affected company code.Check whether the account is correct and create it for the company code, if necessary.
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  • Payment clearing of a partially cleared document.

    Hello,
    I have a question on how the payment clearing works for the below scenario:
    When we post a credit memo for Vendor through MIR7, the below accounts will hit:
    Dr Vendor
    Cr GR/IR
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    Dr Cash Discount Clearing a/c
    Cr Costs (Expense a/c)
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    Thank You.

    I believe F110 is trying to clear the cash discount clearing account and post to the expense account.  My suggestion would be to reset the clearing documents that cleared the month-end adjustment against the invoices.  Then reverse the month-end adjustment in the new month.  Once the clearing of the invoices has been reset, F110 can clear the cash discount clearing posting from the invoice to the expense account.  And because the month-end adjustment was reversed in the next month, the net effect of the reversal and the F110 postings should be zero for the month.
    Going forward the month-end adjustment should not be cleared against the invoices, but instead it should be reversed in the next month.
    Regards,
    Shannon

  • How to get the pop up of Down Payment Clearing while posting an Invoice using MIRO tcode

    Hi,
    I am having a requirement where I need to display the Down Payment Clearing pop up.
    Scenario: While posting an Invoice, user have to check whether he had done any downpayment for the Purchase Order, if so, then there will be a Information displayed saying "Down Payment for Purchase Order xxxxxxxxx exist". Then user  has to click the Down Payment Clearing button in the header level, then a pop up window is displayed.
    But now my requirement is when the Information Message is displayed, if I click enter button to goto next screen, that time itself I need to display the Down Payment Clearing pop window, rather than clicking the down payment clearing button in the header level.
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    Hi,
    At the time of entering the invoice from MIRO/FB60, system gives a pop-up for downpayment clearing. If you go in the help, the following thing is mentioned in the part Procedure.
    Procedure
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    Here SAP has clearly mentioned that we can do the clearing after posting of this document.
    Regards,
    Amit
    Edited by: amit kulkarni on Nov 13, 2009 2:53 PM

  • Down Payment Clearing pushbutton in MIRO (SAP ECC6 EP4)

    Dear Experts,
    As i am trying to do the same process in my organisation to post the DP in PO at header or item level and after that following the ME2DP process for posting DP and then i do MIGO.
    After GR as i do MIRO process and select the PO there is no DOWN PAYMENT Push button on header level on MIRO Screen.
    I already re-started the Business Function "LOG_MMFI_P2P" after that also it is not showing the push button.
    Please kindly help in this to get that DOWN PAYMENT clearing button?
    Regards
    Arun Rai

    Hi,
    I just re activated that module function and process this practise in the similar way SAP has guided in its library which i can tell you in the brief. I suppose that way will work for you.
    Posting of Down Payment Clearings and Down Payments in Purchase order
    1. Create a purchase order with one or more items. To do this, on the SAP Easy Access screen choose Logistics -> Materials Management -> Purchasing -> Purchase Order -> Create ->Vendor/Supplying Plant Known (ME21N).
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    b) Enter an amount in the Down Payment Amount field, or a percentage in the Down Payment % field.
    c) Enter a due date in the DP Date field.
    d) Save your entries.
    2. On the SAP Easy Access screen choose Logistics -> Materials Management -> Purchasing -> Purchase Order -> Reporting ->Down-Payment Monitoring for PO.
    3. In the Purch.Doc. field, enter the purchase order number of the purchase order you just created, and enter the appropriate due date interval.
    Choose Execute.
    4. Select the purchase order you created in the list and choose Create Down Payment Request.
    The Down Payment Based on Purchase Orders screen appears.
    5. In the group box Execution, choose either Down Payment or Down Payment Request and then choose Continue.
    Depending, either the Down Payment Request screen or the Down Payment screen appears.
    6. Change the proposed amount to be paid in the Down Payment Amount field and choose Continue.
    7. on the subsequent screens (similar to F-47 / F-48), enter the required data and post the document.
    Posting of Down Payment Clearings in Logistics Invoice Verification
    Preparation for this process:
    1. Create a purchase order with one or more items. To do this, on the SAP Easy Access screen choose Logistics -> Materials Management -> Purchasing -> Purchase Order -> Create -> Vendor/Supplying Plant Known (ME21N).
    2. Use the Financial Accounting transactions (such as F-48) to create down payments for this purchase order.
    3. Post a goods receipt with reference to the purchase order you created. To do this, on the SAP Easy Access screen choose Logistics -> Materials Management -> Inventory Management -> Goods Movement -> Goods Movement (MIGO).
    Step to follow for Execution
    1. Post an invoice with reference to the purchase order you created. To do this, on the SAP Easy Access screen choose Logistics --> Materials Management --> Logistics Invoice Verification --> Document Entry --> Enter Invoice (MIRO).
    2. Check the invoice items and correct them if necessary.
    3. Choose the Down Payment Clearing pushbutton.
    4. In the Amount Entered column, enter all the amounts you want to use to clear the displayed down payments.
    Save your entries.
    5. Post the invoice.
    6. Display the invoice document. To do this, on the SAP Easy Access screen choose Logistics --> Materials Management --> Logistics Invoice Verification --> Further Processing --> Display Invoice Document (MIR4).
    i Think the way all the process mention here will help to process your requirement becuase this worked for me and i follow the same way. One think which i like to share with you is i assigned the advance payment at document header level.
    Regards
    Arun

  • Check payment house bank

    User has done the payment sbi bank
    while updtion fch5 user has mistake  update with wrong house bank id and account id.How to control other house bank for particular bank in fchi
    please help me on this

    Hi Expert,
    If the Check is updated to the document with the T-Code: FCH6 - Manual Updation of Check En-cashment Date.
    Then do the below Steps:
    Step-1: Define Void Reasons in T-Code: FCHV
    Step-2: Reset Check Data(i.e., Deletion of En-cashment Date) in T-Code: FCHG
    Step-3: Issued Check Cancellation in T-Code: FCH8
    Step-4: Check Register in T-Code: FCHN
    Regards,
    GK
    SAP

  • Check payment- doc type

    hi all,
    can anyone please tell me how can i identify a check  payment in table regup and reguh?
    what is the doc type for check payments?
    thanks,
    Mirit

    Hi,
    To identify the payment document in these two table regup and reguh, first we need to identify the payment document type in FBZP. So please goto T.Code FBZP and then click on Payment method in country --> select the relevant country --> select the relevant payment method --> Check Posting Details block and see which document type we assigned over there Usually we assigned Document type for payment = ZP and Clearing document type ZV. Now you can give the same document type in selection screen of Display table of REGUP. In table REGUH document type and document number field is not available in selection screen so you can view the payment document through Payment method for whatever you assigned at the time of running payment run via F110.
    R.k

  • Check payment element

    we have one check payment, we assign form Z_check for the payment method, we already run one check payment and submit to the bank
    but in payment log, we find error: it says in form Z_check/window MAIN, the element 315-Y (text-Y) is missing, but as I go to SE71 text element, I only see 315-C, no 315-Y, so how to maintain 315-Y?
    if we correct this error, what steps we need to follow to generate the new check? do we need to cancel payment, delete payment?

    We have a similar problem. I will also like to know what the solution is. In ou case it is not a check payment but an electronic bank  payment. We also need to only RESET the payment entry but NOT reverse it. However now when we are trying to do FBRA, the system says exaclty the same message as posted in the original query here.
    regards,
    Suvarghya

  • Not possible to post down payment clearing. There are no down payments:CJ88

    Hi Experts,
    When I settle WBS Element cost to the Asset Under Construction using transaction CJ88, I receive following error.
    AA571 Not possible to post down payment clearing. There are no down payments.
    Please help.
    Thank You.

    Hi,
    first please check if the message AA 571 is right:                                                                               
    -  Please check table ANLC. If ANLC-KANZA + ANLC-ANSAZ < 0    AA 571                                                                               
    -  Check asset values (AW01N, ANEP, ANLC) and find out where the negative down payments come from (tty 180, 181)                                                                               
    However, in some cases a negative down payment balance cannot be avoided  (for example through translation differences in foreign currency  areas). This is the problem of AA 571. Sometimes it is not justified. For this                
    cases we have the following note:                                                                               
    860038  Error AA571 not justified                                                  
    Using SM30, for the T100S table, create an entry for the message                      
    class AA, message number 571, allowed message type "AEW" and                          
    standard message type "E". Select the entry as 'Switch off'.                                                                               
    If when you post to a fixed asset the down payments are negative, or                  
    become negative through the posting, you continue to receive an error as              
    a default with these changes.                                                                               
    Recommended procedure:                                                                               
    o  Change this message to a warning message for one or several                    
           special users. This user should then be used to post to any such               
           fixed asset that has down payments that are already negative or                
           become negative through posting.                                                                               
    o  This should only be permitted in the cases where a negative down               
           payment balance cannot be avoided due to foreign currency                      
           rounding.                                                                      
    regards Bernhard
    Edited by: Bernhard Kirchner on Feb 11, 2011 9:27 AM

  • Reset vendor payment document

    hi...
    when i reverse a vendor payment document by FBRA than system showing a msg
    "Use the transaction defined for resetting a check payment."
    by which t.code we can reverse the vendor payment document?
    Thanks & Regards
    Rekha sharma

    HI,
    cancell the cheque first because you are reversing the document-
    cancell the cheque from T-code FCH8
    and try FRA
    SU*

  • Error: Not possible to post down payment clearing.There are no down payment

    Hi expert,
    I am running a settlement for an internal order and encounter the following error message.
    "Not possible to post down payment clearing. There are no down payments."
    Message no. AA571
    When checked on the vendor, the invoice has been cleared in the same month before the settlement. Under the Internal order line items, there is still an unsettled amount of the invoice.
    This internal order settles to an AUC asset. Previous month settlement was ok. Only problem with december.
    The downpayment acct is currently zero.
    Is there something wrong with the message table, or the posting of the vendor invoice ? Anything to do with the special GL indicator ?
    Kindly advise what is the cause and the method to resolved this asap.
    Thanks.
    Angel.

    Hi Angel ,
    My client also getting error message while doing settlement(T.C.KO88) even though Note.8600038 applied.
    Error Message:Not Possible to post down payment clearing .There are no down payments.
    Message: AA571
    If your issue is solved.
    please can you tell how did you solve this issue.
    Thanks,

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