Reverse presentation Bill of exchange - Urgent

Hi,
we made a presentation of a bill of exchange trough the FBWE transaction... we made this with a wrong bank so the system generated both the file and posting.
Now we need to reverse this posting because it's wrong, and then we need to run the FBWE posting again to make the right bank assignment and create the right file and posting....
How can we do this?
Please help me!
Thanks
Lara

Hi Lara:
Refer to the following SAP weblink.
http://help.sap.com/erp2005_ehp_03/helpdata/EN/01/a9cd9f455711d182b40000e829fbfe/frameset.htm
Use T.code  F-25 Reverse Check/Bill of Exch.; .
Since i am not in front of the system, i am unable to check.
Please let me know if you need more information.
Assign points if useful.
Regards
MSReddy

Similar Messages

  • Bill of Exchange(Urgent)

    Dear Gurus,
    Pls decribe Bill of Exchange in detail.its urgents.
    or mail to:[email protected]
    Regrds
    Mahesh

    Dear Mahesh
    Check the links
    [Bill of Exchange Presentation |http://help.sap.com/saphelp_46c/helpdata/en/cf/6ff402414f11d182b10000e829fbfe/frameset.htm]
    [Processing Bills of Exchange Receivable |http://help.sap.com/saphelp_45b/helpdata/en/e8/f0c1040a6911d294f200a0c929f4c9/content.htm]
    [Special G/L Transactions: Bills of Exchange|http://help.sap.com/printdocu/core/Print46c/en/data/pdf/FIBP/FI-AP-AP-BE.pdf]
    thanks
    G. Lakshmipathi

  • Bill of Exchange (Account Payable)

    Hi Experts:
    I was trying to configure Bill of Exchange - For both Account payable as well as account receivable. Account Receivable Succeed. But have some problem in BOE Account Payable.
    Can any one tell me Step by Step Procedure to configure and use (User Manual) for it. (BOE Payable).
    Please help. Thanks in Advance.
    With Regards,
    Devendra Singh Chauhan

    HI
    Please find the below Config steps
    1.Define Alternative Reconcil.Acct for Bills/Exch.Receivableu201D: in OBYN
    2.Define Accounts for Bill of Exchange Transactions in OBYH
    3.Define Bill of Exchange Tax Codes in below path
    SPRO - > Financial Accounting (New) --> bank Accounting --> Business Transactions --> Bill of exchange transactions --> Post bill of exchange receivable --> Define Bill of Exchange Tax Codes
    4.Prepare Bill of Exchange Charges Statementu201D in Below path
    SPRO --> Financial Accounting (New) --> bank Accounting --> Business Transactions --> Bill of exchange transactions --> Post bill of exchange receivable --> Prepare Bill of Exchange Charges Statement
    5.Define Correspondence Types in OB77
    6.Assign Programs for Correspondence Types in OB78
    7.Define Form Names for Correspondence Print in Below path
    SPRO --> Financial Accounting (New) --> bank Accounting --> Business Transactions --> Bill of exchange transactions --> Post bill of exchange receivable --> Make and Check Settings for Correspondence --> Define Form Names for Correspondence Print
    8.Define Sender Details for Correspondence Form in below path
    SPRO --> --> Financial Accounting (New) --> bank Accounting --> Business Transactions --> Bill of exchange transactions --> Post bill of exchange receivable --> Make and Check Settings for Correspondence --> Define Sender Details for Correspondence Form
    9.Configuration Design of u201CDefine Bank Subaccounts in OBYK
    10. Define Bill of exchange types in F.39
    11.Maintain House Bank Details in F.92
    12.u201CDefine DME User IDs in OBBD
    13.Define User-Specific Settings in below path
    Financial Accounting (New) --> bank Accounting --> Business Transactions --> Bill of exchange transactions --> Present Bill of Exchange Receivable at Bank --> Define User-Specific Settings
    14.u201CDefine Sender Details for Form for Bill of Exchange Presentationu201D in blow path
    Financial Accounting (New) --> bank Accounting --> Business Transactions --> Bill of exchange transactions --> Present Bill of Exchange Receivable at Bank --> Define Sender Details for Form for Bill of Exchange Presentation
    15.Define Bill of Exchange Payment Periodu201D in below path
    SAP Customizing Implementation Guide --> Financial Accounting (New) --> bank Accounting --> Business Transactions --> Bill of exchange transactions --> Present Bill of Exchange Receivable at Bank --> Define Bill of Exchange Payment Period
    16.Set Up Paying Company Codes for Payment Transactionsu201D in below path
    SAP Customizing Implementation Guide --> Financial Accounting (New) --> Accounts Receivable and Accounts Payable > Business Transactions> Incoming Payments > Automatic Incoming Payments> Payment Method/Bank Selection for Payment Program-->Set Up Paying Company Codes for Payment Transactions
    17.Set Up Paying Company Codes for Payment Transactionsu201D in below path
    SAP Customizing Implementation Guide --> Financial Accounting (New) --> Accounts Receivable and Accounts Payable > Business Transactions> Incoming Payments > Automatic Incoming Payments> Payment Method/Bank Selection for Payment Program-->Set Up Paying Company Codes for Payment Transactions
    18.Set Up Payment Methods per Country for Payment Transactions in below path
    SAP Customizing Implementation Guide --> Financial Accounting (New) --> Accounts Receivable and Accounts Payable > Business Transactions> Incoming Payments > Automatic Incoming Payments> Payment Method/Bank Selection for Payment Program-->Set Up Payment Methods per Country for Payment Transactions
    19.Set Up Payment Methods per Company Code for Payment Transactu201D in below path
    SAP Customizing Implementation Guide --> Financial Accounting (New) --> Accounts Receivable and Accounts Payable > Business Transactions> Incoming Payments > Automatic Incoming Payments> Payment Method/Bank Selection for Payment Program--> Set Up Payment Methods per Company Code for Payment Transact
    20.Set Up Bank Determination for Payment Transactionsu201D in below path
    SAP Customizing Implementation Guide --> Financial Accounting (New) --> Accounts Receivable and Accounts Payable > Business Transactions> Incoming Payments > Automatic Incoming Payments> Payment Method/Bank Selection for Payment Program--> Set Up Bank Determination for Payment Transactions
    Hope it will be helpful
    Regards
    CA.Prasad

  • Bill of exchange payble configuration

    Hi
    Could anybody provide configuration steps for bill of exchange payable.
    regards
    yeasap.fico
    Moderator: Please, read and respect SDN rules

    HI yesap.fico
    Please find the below steps for Bills of Exchange Configuration in SAP ECC 6 Version
    1. Define alternative Reconciliation accounts in OBYN  t code
    2. Define accounts for bills of Exchange Transaction in OBYH
    3. Define Bills of Exchange Tax Code  in Spro--> FI-Bank accounting --> Business transaction --> Bills of exchange -->Post Bills of Exchange receviables -->define bills of Exchange T codes
    4.Preapare Bills of Exchange charges statment in FI-Bank accounting --> Business transaction --> Bills of exchange -->Post Bills of Exchange receviables --> Preapare Bills of Exchange charges statment
    5.Configuration Design of u201CDefine Correspondence Types in t code OB77
    6.Assign Programs for Correspondence Types T code OB78
    7.u201CDefine Form Names for Correspondence Print In SAP Customizing Implementation Guide --> Financial Accounting (New) --> bank Accounting --> Business Transactions --> Bill of exchange transactions --> Post bill of exchange receivable --> Make and Check Settings for Correspondence --> Define Form Names for Correspondence Print
    8.Define Sender Details for Correspondence Form in SAP Customizing Implementation Guide --> Financial Accounting (New) --> bank Accounting --> Business Transactions --> Bill of exchange transactions --> Post bill of exchange receivable --> Make and Check Settings for Correspondence --> Define Sender Details for Correspondence Form
    9. Configuration Design of u201CDefine Bank Subaccounts in OBYK
    10.Configuration Design of u201CDefine Bill of exchange types in F.39
    11.Configuration Design of u201CMaintain House Bank Details in F.92
    12.Configuration Design of u201CDefine DME User IDs in OBBD
    13.Configuration Design of u201CDefine User-Specific Settings in SAP Customizing Implementation Guide --> Financial Accounting (New) --> bank Accounting --> Business Transactions --> Bill of exchange transactions --> Present Bill of Exchange Receivable at Bank --> Define User-Specific Settings
    14. Configuration Design of u201CDefine Sender Details for Form for Bill of Exchange Presentation  in SAP Customizing Implementation Guide --> Financial Accounting (New) --> bank Accounting --> Business Transactions --> Bill of exchange transactions --> Present Bill of Exchange Receivable at Bank --> Define Sender Details for Form for Bill of Exchange Presentation
    15.Configuration Design of u201CDefine Bill of Exchange Payment Periodu201D in  SAP Customizing Implementation Guide --> Financial Accounting (New) --> bank Accounting --> Business Transactions --> Bill of exchange transactions --> Present Bill of Exchange Receivable at Bank --> Define Bill of Exchange Payment Period
    16.Configuration Design of u201CSet Up Paying Company Codes for Payment Transacti in FBZP
    17. u201CSet Up Paying Company Codes for Payment Transactions in FBZP
    18.Set Up Payment Methods per Country for Payment Transactionsu201D in FBZP
    19.Set Up Bank Determination for Payment Transactionsu201D in  FBZP
    Hope it will Help You
    Thanks & Regards
    CA.Prasad

  • Bill of exchange file Spain - reverse

    Hi all,
    Our customer in Spain should start to use Bill of Exchange. They should do as follows:
    1. Transaction F110 => The invoice gets cleared and the same invoice is created again with special G/L-indicator W.
    2. Transaction FBWE (presentation to bank) => posting between bank account and bill of exchange account
    3. Create file in transaction F110 and send to bank
    4. Transaction F_72 (reverse bill liability) => when customer has paid, this transaction clears open invoices with special G/L-indicator W with ill of exchange account.
    After step 3 is it possible that the bank will get back and tell our customer that one of their customers did not have money on account and thay need to reverse postings in step 1 and 2. How do they do to reverse step 1 and 2, is that a special procedure?
    Best regards L
    Edited by: Lisa E on Jun 11, 2010 12:50 PM

    Dear Lisa,
    You should use transaction FBZG. Here You can use the button Copy data if Your bank gives You the file with the failed payment or Maintain data to do it manually and then You have to push "Carry out update". This allows You to run the report RFBITB01 and create the batch input session.The customer position will be reopen.
    I hope this can help You.
    mauri

  • Separate presentation and usage in FBWE - Bills of Exchange

    Hi Experts,
    I am implementing Bills of Exchange receivable process. I want to use FBWE transaction for both generating a presentation list and posting usage - not in the same transaction.
    I am facing a couple of issues:
    1. Once a bill receivable is presented (note that the usage is not posted) it is available again for presenting in FBWE. How do I control this?
    2. The usage posting must take place only for the presented bills. However, in FBWE, all eligible bills are shown (presented as well as not presented). Can I get only the list of presented bills here?
    Please HELP!!!
    - Sanhita

    Dear Antish,
    if You run se38 for the report RFFBWE00, You'll available to see which are the supported formats:
    ES01 DME file type for Spain: CSB32
    ES02 DME file type for Spain: CSB58
    ES03 DME file type for Spain: CSB32 with Line Break
    FR01 DME file type for France
    FR02 DME File Type for France with Line Break
    IT01 DME file type for Italy
    IT02 DME File Type for Italy with Line Break
    In Italy we use the IT01 that will produce a format that is compliant to the Italian law.
    CBI institute defines the rule to create the file (www.cbi-org.eu --> Collction area --> ri.ba) and the content of each field into each record and positions.
    This is valid for all the other Countries as well.
    I hope this can help.
    Mauri

  • Bill of Exchange presentation FBWE

    Hi all
    I am setting up Bills of Exchange (Efectos) in Spain, all works well until I try to run the BOE presentation (to the bank) and I do not get any bills of exchange (the list is empty). The account I am selecting on is the special G/L control account. Can someone shed any light as to why no documents are being selected. Also if anyone has any notes relating specifically to Spain it would be appreciated.
    Thanks
    Alan

    Did you try looking in SM35 by any chance?

  • Bill of Exchange- Collection Issue (F-34)

    Dear,
    At the time of collection(F-34) present system is generating the below entries.
    001 40  2000 0931006041 HDFC  -Mum-3319-In         48,794.00
    002 50  2000 0000163190 Bills Rec-Discounte        48,794.00-
    but as per business requirement entry should be as below..
    Bank Account  Dr
    Customer spl gl W   Cr
    please let me know what are the config required.
    Regards,
    venkat

    Hi Venkat,
    Check your Configurations as follows ::
    1.Define Alternative Accounts for Bil/Exch receivables T-code (OBYN) - Maintain Account Configurations - Recon Account & Special Gl accounts
    2. Define Bank sub Account- OBYK
    3. Define Bill Payment Period - OB86
    4.FOR POSTING THE TRANSACTION RELATING TO Bill of Exchange
    a. For Receiving the B/E from customer (F-36)
    b. For Discounting theB/E with the Bank(F-33)
    c. For Reversing the Contingent Liabilities (F-20)
    4. While posting (F-34) select the appropriate Special GL Indicator..
    Hope the same would clarify !
    Regards, Bhabani S Dash

  • Template AR INVOICE with BILL OF EXCHANGE

    Hello everyone
    I'm looking for in SAP Business One a Template of AR INVOICE with in the footer a bill of exchange as this example :
    Thanks for your help.
    Have a good day.
    Stéphane.

    Dear Maccioni,
    the italian ri.ba postings are the following ones:
    1. INVOICE POSTING by FB70, F-22
    2. BILL OF EXCHANGE ISSUE by F110  or manually by F-36
    3. BANK PRESENTATION by FBWE
    4. CREDIT MEMO POSTING
    When the bank credits the account with the amount of bank receipts, it
    is necessary to carry out a manual collection posting: Debits: Bank
    current account; Credits: Bank - Bank receipts for collection account
    (transaction F-06).
    5. ACCRUAL
    The accrual can be executed according to two different methods:
    1.Manual: transaction F-20;
    2.Through the running of program RFWOBL00 (by means of a daily
    job); this program has three functions:
    -it posts the accrual;
    -it posts the risk;
    -it reverses the previous overdue risk;
    6. FAILED PAYMENT TRANSACTION by FBZG, Report RFBITB01
    Before You should create:
    by OBYN the special G/L Account with the special indicator W
    Create by FBZP an R payment method for bill of exchange to be used.
    I hope this can help.
    Mauri

  • F-20 bills of exchange No Due items F5345

    Hi
    We are experiencing a posting issue with Bill of exchange Reverse Liability tcode F-20. The documents are posted as below;
    Check/BOE receipt posted with
    Posting Date  01.01.2014
    Due on          28.02.2014
    Issue date     01.01.2014
    Used on        02.03.2014  Collection  I   15120000XX
    As you can see collection was posted already
    The OB86 setting is United.Arab Emirates    AE    3
    The Item shows in F_75 and FBL5N report as open and due.
    We are giving  Due by  date in F-20 as 03.03.2014 (even 04.03.2014)
    the system still throws error message
    No due items exist at the key date
    Message no. F5345
    Please help as to what could be the reason the system is throwing this error message. The platform is SAP ECC 6.0 SP18.
    Thanks

    Hi, Uttam
    Please check if you have the field 'B/exch.payment period' filled in with transaction OB86. If you check the F1 help for this field, these days are added to the due date. The bills of exchange are selected when the Due date is lower or equal to the date that is defined in the 'Due by' field of transaction F-20.
    I hope this helps.
    M Trein

  • BE (Bill of Exchange) purchased back from bank before due date

    I have posted BE through either FBW1+ FBW2 or through F-36. Due date is 1 mth in the future. Then i have discounted it through F-33 using bank clearing liab account (credited here and Post automatically only) Settings in OBYK have also been done for Collection, discounting and forfeiture.
    If the BE is purchased back from the bank before the due date, I am not permitted to reverse the BE liab in F-20 as it says that due date is not reached. This is a common scenario with our client and I need to be able to make this work in SAP.
    Please offer me any solution
    thanks

    Never mind, I just had to update the Paying company code, fields Bill of exchange due date... > Earliest-lates due date in...days.
    Regards.

  • Bill of exchange postings

    hi,
           is bill of exchange can do for vendors, if yes pls give the procedure and entires also.
                urgent.

    hi,
    yes you can do, for reference and notes follow this link
    Re: Bill of Exchange
    assign points if useful,
    regards,
    rajendra

  • Bill of exchange Forfieted,

    Can u expalin me the complete process of Bill of exchange Forfieted, From Sale invoice to Forfieting.
    What is difference between F-36 payment & F-34 collection?

    The standard process as provided by SAP is as follows:
    Book Customer Invoice,
    (ii) Post the Incoming Payment from Customer thru BOE (Bills of Exchange). While doing so, the invoice open item would be cleared and a new open item with special GL will be generated for BOE Receivable.
    (iii) Discount the BOE with Bank. This will create a new contingent liability with the Banker.
    (iv) At the time of maturity, reverse the Contingent Liability.
    Accounting Entries:
    When Customer accepts the bill of exchange (Recording the receipt of the bill of exchange) (TCode : F-36)
    Menu path     Accounting  Financial Accounting  Accounts Receivable  Document Entry  Bill of Exchange  Payment
    Customer A/c (with Special GL indicator)    Dr  [BOE Receivable]
         To Customer A/c
    At the time of Discounting the bill with the Bank (TCode : F-33 or FBW3)
    Menu path     Accounting  Financial Accounting  Accounts Receivable  Document Entry  Bill of Exchange  Discounting
    Incoming Bank A/c                          Dr
    Bill Discounting A/c          Dr
         To BOE Contingent Liability A/c
    Reverse the Contingent Liability on actual collection by Bank (TCode : F-20 or FBW4)
    Menu path     Accounting  Financial Accounting  Accounts Receivable  Document Entry  Bill of Exchange  Reverse Contingent Liability
    BOE Contingent Liability A/c         Dr
         To Customer A/c (with Special GL indicator)[BOE      Receivable]
    In case the Bill of Exchange is not honored by the customer (TCode : FBZG)
    Menu path     Accounting  Financial Accounting  Banks  Incomings Failed Bill of Exchange
    Customer A/c                                 Dr
         To Bank A/c
    Revert back in case of doubts.
    Regards,
    Kapil

  • Automatic clearing for bills of exchange

    HI,
    We are looking at ways to make a automatic clearing with special G/L indicator for bill of exchange.
    Does anyone who knows the way to make this recording from f.13 or similar tcode?
    Thanks
    Best Regards

    Dear Emanuele,
    In reference to your question about f.13 and automatic clearing with special G/L indicator for bill of exchange please note the following
    The clearing of special G/L processes e.g. BOE, requires a more complex treatment as you can find in the following description. Please also review the documentation of SAPF124.
    The following items are not cleared by SAPF124
    o   Noted items
    o   Statistical postings and certain special G/L transactions (down
        payments and bills of exchange)
    o   Items containing withholding tax postings (country-specific).
    BoE is special transaction and should be handled only using mentioned below transactions:
    1) invoice (p. ex. TA: F-22)
    2) payment run (TA: F110 / F-36 / FBW2)
    3) presentation of BoE (TA: FBWE / F-33 - Discounting
                                       F-34 - Collection
    4) clearing of document (TA: FBW4 / F-20)
    5) customer does not pay (TA: FBZG)
    Hope this information is helpful to you. I could not find any program for automatic clearing, you can check FBWD which is a manual process to clear bill of exchange.
    Kind Regards
    Soumya

  • Pre-numbered Bills of Exchange - Accounts Payable

    Hi all,
    Can anyone help...within the payment program I have configured payment method -Bill of Exchange with the standard special ledger indicator 'W' and the standard print program RFFOUS__W. With this standard functionality is there any way I can use pre-numbered Bills of exchange (like cheques)?
    Thanks
    PC

    Dear all,
    the SAP Standard System offers the following                                                                               
    2 formats:CSB32 and CSB58                                                                               
    In the FBWE you can enter either ES01 (CSB32) or ES02 (CSB58) a                      
    files will then be created automatically without having to run                       
    report RFFOES_D.                                                                               
    Please notice that CSB32 can not be obtained by RFFOES_D.                                                                               
    The format CSB32 will only be created automatically by FBWE.                                                                               
    FBWE does not create data set for CSB19 format. This format is                       
    available in the report RFFOES_D but not for bill of exchange                        
    presentation carried out by the standard program FBWE.                               
    Please additionally read SAP note 101440.
    I hope this helps.
    Mauri

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