SAPF124 Automatic clearing program

we need to populate fields with business area & Box Number for both manual clearing (Trans F-03, F-32, F-44, F-04) and automatic clearing  (Trans F.13 & F13E - Program SAPF124 & SAPF124E) transactions in SAP Ledger for Treasury postings .
Treasury postings will be loaded into SAP CFI via two specific document types (CG- Treasury cash Posting and CH Treasury Accrual Postings).
The box number will be stored in the allocation field (BSEG- ZUONR) on the account line item level. As a consequence remeasurements/revaluations have to be executed on that level as well.  Business area will be stored in (BSEG-GSBER).
For the automatic clearing programs (SAPF124 & SAPF124E) a change will be need to incorporate this population logic on the exchange rate difference. Also, for the manual clearing is there a user exit we could use to accommodate this?

Dear Venkat,
The problem that you have described may have to be broken into two separate parts. One you may have make enhancement to the program 'SAPMF05A' and then to the ones that you indicated.
SAPMF05A does not have any customer exits but it does have a lot of badi's. Since you havent really given your business scenario, i cant choose one for you. However you can list all BADI's in SAPMF05A by doing the following,
1. OPEN SAPMF05A in SE38 (Display)
2. Search for the word 'cl_exithandler' in Main Program.
This will give you all the points where a BADI is available in SAPMF05A.

Similar Messages

  • GL Open Item Automatic Clearing Program Throughput

    Hello all,
    Can anyone inform me if I should be wary of technical constraints regarding data volumes when using the automatic clearing program  (E.g. tx F.13 program SAPF124).  For example, can I expect issues if I try to use the automatic clearing program to clear 2 million open items on the same company/GL account for 4,000 unique values of Assignment Number?  Any experience with volume thresholds and how to best design for them would be greatly appreciated.
    Many thanks,
    Pat

    We use it for all the clearing incl AR/AP/GL... there are no manual clearing happening here..... in case there is some issue then only manual clearing is done and the issue is only due to some transaction data missing which we use for clearing....other than that we have never faced any such issue.....
    In case u r worried ab8 the system u can take the help of basis person to see how much load load this program takes on the system... functionally we never faced any issue....

  • What is an automatic clearing program?

    Hi,
    What is an automatic clearing program? how can we run the automatic clearing program?
    Regards
    sAT

    Hi,
    Mass clearing is done via F.13 transaction. The program is SAPF124.
    Regards,
    Eli

  • Not clearing Open items in Automatic Clearing Program

    Hi all,
    I am trying to execute Automatic Clearing Program throug F.13 transaction, but it is not clearing the relavent open items. When  I have tried to execute in Test Run mode, it is displaying the open items, but in production run it is not clearing the relavent items. In OB74, I have selected the criteria 1, Criteria 2 and Criteria 3 as Vendor Number, Purchase Document and Assignment respectively.
    Please suggest me, what I have to do to clear open items
    Regards
    Chandra

    Hi,
    Please check whether the accounts you are selecting for clearing are either are subledger or maintained at open item level managed.
    Hope this helps, if yes, please assign points.
    Regards,
    Harish

  • Automatic Clearing Program F13E

    Hi all,
    We plan on using the automatic clearing program to automatically clear the open items on a GL account. However, I noticed something peculiar today concerning this program.
    Example:
    We have 5 sets of open items in currencies EUR, QR, GBP, AED and SGD.
    The amounts in Document Currency for each set balance to zero.
    If I run the program with no currency specified, the program attempts to clear the AED open items only. (By the way, our CoCd curr = USD. If I insert USD as the Clearing Currency it brings up the same AED open items - only.)
    If I specify EUR, the program only attempts to clear the EUR open items.
    If I specify QR, the program attempts to clear the EUR, QR and QED open items.
    If I specify GBP, the program attempts to clear the EUR, GBP, AED and SGD open items.
    If I specify GBP, the program attempts to clear only the SGD open items.
    Can anyone tell me the logic here?
    Many Thanks,
    John.

    Hi
    Please check the clearing program after giving the following criteria
    Criteria 1 - ZUONR
    Criteria 2 - BUKRS
    This works fine for me for all the currencies.
    Thanks
    Ashok

  • Automatic Clearing Program -

    Hi All,
    I am trying to execute Automatic clearing program to clear some of the open items and there are some open items in vendor account. But in additinal log it is displaying like "Account blocked by Payment proposal(Table REGUS)".
    To complete automatic clearing program  where i have to make modifications for this error?
    Thanks
    Chandra

    Hi Chandra,
    The vendor open items are included in one of the payment proposal, therefore, you are not allow to clear that open item in your auto clearing program.
    You have to go to auto payment program to delete the proposal which has included that vendor items.

  • Automatic Clearing Program  not clearing in production run -

    Hi All,
    I am getting strange problem. I am trying to execute F.13 transaction code and When I run in test run mode its selecting all the relavent POs for GRIR clearing. But when I execute the same in Production run, its not at all  picking the  POs for GRIR clearing. Can anyone explain me why its not picking in Production run........

    Hi Chandra,
    you must check the criterion of automatic clearing in the two environnements (test and production). may be there are differences. if it's the case you make changes.
    IMG path for the criterion of automatic clearing :
    Spro > Financial Accounting (New) > Accounts Receivable and Accounts Payable > Business Transactions > Open Item Clearing > Prepare Automatic Clearing
    hope this helps
    regards

  • SAPF124-Automatic Clearing

    Hello,
    Is there a way to change the standard setting of the output of this program. 
    For example :  would like to present Document type (BLART) on the detail list of documents,  following execution of the program.
    Thanks in advance.

    Dear Venkat,
    The problem that you have described may have to be broken into two separate parts. One you may have make enhancement to the program 'SAPMF05A' and then to the ones that you indicated.
    SAPMF05A does not have any customer exits but it does have a lot of badi's. Since you havent really given your business scenario, i cant choose one for you. However you can list all BADI's in SAPMF05A by doing the following,
    1. OPEN SAPMF05A in SE38 (Display)
    2. Search for the word 'cl_exithandler' in Main Program.
    This will give you all the points where a BADI is available in SAPMF05A.

  • AUTOMATIC CLEARING FOR RECEIPTS PROGRAM 수행 시 ORA-1422 ERROR 발생 대처 방법.

    제품 : FIN_AR
    작성날짜 : 2004-11-09
    AUTOMATIC CLEARING FOR RECEIPTS PROGRAM 수행 시 ORA-1422 ERROR 발생 대처 방법.
    =====================================================================
    PURPOSE
    Problem Description
    AUTOMATIC CLEARING FOR RECEIPTS PROGRAM 수행 시 REP-1401: 'beforereport': Fatal PL/SQL error occurred.
    ORA-01422: exact fetch returns more than requested number of rows
    ORA-06512: at "APPS.ARP_AUTOMATIC_CLEARING_PKG", line 739 Error 가 발생하여 process 가 진행이 되지 않는다.
    Workaround
    N/A
    Solution Description
    1. 다음 sql을 수행 하여 해당 record 가 있는지 확인한다.
    select cash_receipt_id, count(cash_receipt_id)
    from ar_cash_receipt_history_all
    where current_record_flag = 'Y'
    group by cash_receipt_id
    having count(cash_receipt_id) > 1 ;
    2. 만약 record count가 1이상이면 ar_cash_receipt_history_all table에 remitted 로 record 가 중복 발생하여 program 수행 시 error 가 나는 것이므로 아래 datafix 방법을 수행한다.
    A. temp table을 생성한다.
    create table temp1 as (
    select
    cash_receipt_id,
    max(cash_receipt_history_id) cash_receipt_history_id
    from
    ar_cash_receipt_history_all
    where
    cash_receipt_id in
    (select cash_receipt_id
    from ar_cash_receipt_history_all
    where current_record_flag = 'Y'
    group by cash_receipt_id
    having count(cash_receipt_id) > 1)
    and status = 'REMITTED'
    and current_record_flag = 'Y'
    group by
    cash_receipt_id);
    B.중복 데이타를 삭제한다.
    delete ar_cash_receipt_history_all
    where cash_receipt_history_id in (select cash_receipt_history_id from temp1);
    delete ar_distributions_all
    where SOURCE_ID in (select cash_receipt_history_id from temp1)
    and source_table = 'CRH';
    commit;
    C. Automatic Clearing Program을 다시 수행하여 문제가 없는지 여부를 확인하고, temp1 table은 drop해준다.
    Reference Documents
    -------------------

  • Automatic clearing in electronic banking

    Hi all,
    I'm working with the electronic banking program to import statements and want to clear items from sub ledger accounts automatically.
    From the tests I have done so far, it seems that SAP always tries to locate the business partner via the bank details FIRST. In other words:
    IF business partner bank details are provided in the electronic bank statement
    THEN SAP takes this as leading in order to determine the business partner
    I do not want SAP to start the search via the bank account details. I have been using interpretation algorithm 020 (doc.number) and 031 (doc.number and customer from document) but still SAP always starts searching for the business partner based on the bank details.
    My test case is as follows:
    - I have a customer A without bank details maintained
    - I have a vendor B with bank details maintained
    - Customer A is in fact the SAME business parter as vendor B although they are not linked in their master data
    Now Customer A makes a payment to me and the bank provides the bank details of the customer AS WELL AS the invoice number. SAP then starts matching and finds vendor B because the customer bank details are maintained in the vendor master. Clearing from the vendor does -of course- not take place because the invoice exists on the customer, not the vendor. So a payment advice is created which holds the vendor account AND the invoice number.
    I cannot get SAP to avoid finding the vendor, and instead, find the customer with help of the document number that is also in the bank statement file.
    Hope the case is clear, any suggestions would be highly appreciated.
    Rene

    Hi Jay,
    Open items for G/L Accounts, Vendors and Customers can be cleared automatically by running the Clearing Program
    Set up predefined criteria for automatic clearing (Configuration)
    Program groups those items from an account that have the same
    u2022 Trading Partner ID
    u2022 Reconciliation Number
    u2022 Currency in which the General Ledger is updated
    u2022 Four freely definable criteria
    The program groups together items from an account that have the same reconciliation account number, currency, and Special G/L indicator, as well as pre-defined criteria from the document header or item such as the allocation field, reference number and amount.
    If the balance, in local currency, of the items within a group is zero, the system automatically clears them and creates clearing documents.
    Prerequisites for using the automatic clearing program:
    u2022 Accounts must be managed on an open item basis.
    u2022 Accounts to be cleared must be defined in customizing.
    The automatic payment program does not clear noted items, statistical posting, down payments, bills of exchange and items with withholding tax entries.
    When clearing open items in a foreign currency, differences may occur due to fluctuations in exchange rates. The system automatically posts these differences as realized gains or losses.
    Config: IMG>FA>GL. Accounting>Business  transactions>Open item clearing>Prepare automatic clearing.
    AS well see the notes for better understanding.
    Hope it gives better understanding.
    Respectfully,
    Vyas

  • Automatic Clearing for Customers and Vendors

    Hi,
    We want to clear the open items at a time for the customers and vendors.
    Ex: Cutomer "A" contains 15000 Dr(20 Line items), 12000 Cr(15 Line items) and closing balance 3000 Dr
    Now we want to clear the all open items at a time and remaining(3000 Dr) balance for open items.
    We don't want Manual Clearing(F-32)
    Is this possible through F.13 or others? 
    Thanks in advance

    No you cant
    The automatic program groups items from an account together where they have the same
    entries in the following fields:
    • Reconciliation account number
    • Currency
    • Special G/L indicator
    • Five freely defined criteria from document header or line item, for example,
    assignment field, reference number, and so on.
    If the balance, in local currency, of the items within a group is zero, the system
    automatically clears them and creates clearing documents.
    All accounts requiring automatic clearing must be defined in Customizing.
    The automatic clearing program does not clear:
    • Noted items
    • Statistical postings and certain special G/L transactions relating to bills of
    exchange
    • Down payments can only be cleared if down payment clearing items of the
    same amount have already been posted.
    • items with withholding tax entries

  • Automatic clearing in POR procedure

    Hi,
    I have the problem with POR procedure. I configured the POR procedure and it works correct when the invoice amount is identical as file amount.
    But when the amount in file differs from invoice amount (even in the range of standard tolerance limits), the POR creates batch input using the transaction FB01 and not FB05. And the invoice is not cleared. Is there the possibility to clear also these items for which the payment amount (from POR file) differs from invoice amunt in range of the customer tolerance limit?
    I found the SAP notes - 365439 and 1125229. The note 365439 gives the solution but the note 1125229 changes it.
    I don't know which note I should download and how to resolve my problem.
    Can you help me in this issue?
    Regards
    Aleksandra

    Hi Jay,
    Open items for G/L Accounts, Vendors and Customers can be cleared automatically by running the Clearing Program
    Set up predefined criteria for automatic clearing (Configuration)
    Program groups those items from an account that have the same
    u2022 Trading Partner ID
    u2022 Reconciliation Number
    u2022 Currency in which the General Ledger is updated
    u2022 Four freely definable criteria
    The program groups together items from an account that have the same reconciliation account number, currency, and Special G/L indicator, as well as pre-defined criteria from the document header or item such as the allocation field, reference number and amount.
    If the balance, in local currency, of the items within a group is zero, the system automatically clears them and creates clearing documents.
    Prerequisites for using the automatic clearing program:
    u2022 Accounts must be managed on an open item basis.
    u2022 Accounts to be cleared must be defined in customizing.
    The automatic payment program does not clear noted items, statistical posting, down payments, bills of exchange and items with withholding tax entries.
    When clearing open items in a foreign currency, differences may occur due to fluctuations in exchange rates. The system automatically posts these differences as realized gains or losses.
    Config: IMG>FA>GL. Accounting>Business  transactions>Open item clearing>Prepare automatic clearing.
    AS well see the notes for better understanding.
    Hope it gives better understanding.
    Respectfully,
    Vyas

  • Automatic clearing in GL

    Hi all,
    Can you anybody pls explain about "Automatic clearing " in GL.
    And where it is exactly required in GL,and what are configuration needed.
    Thanks&Regards
    Jay

    Hi Jay,
    Open items for G/L Accounts, Vendors and Customers can be cleared automatically by running the Clearing Program
    Set up predefined criteria for automatic clearing (Configuration)
    Program groups those items from an account that have the same
    u2022 Trading Partner ID
    u2022 Reconciliation Number
    u2022 Currency in which the General Ledger is updated
    u2022 Four freely definable criteria
    The program groups together items from an account that have the same reconciliation account number, currency, and Special G/L indicator, as well as pre-defined criteria from the document header or item such as the allocation field, reference number and amount.
    If the balance, in local currency, of the items within a group is zero, the system automatically clears them and creates clearing documents.
    Prerequisites for using the automatic clearing program:
    u2022 Accounts must be managed on an open item basis.
    u2022 Accounts to be cleared must be defined in customizing.
    The automatic payment program does not clear noted items, statistical posting, down payments, bills of exchange and items with withholding tax entries.
    When clearing open items in a foreign currency, differences may occur due to fluctuations in exchange rates. The system automatically posts these differences as realized gains or losses.
    Config: IMG>FA>GL. Accounting>Business  transactions>Open item clearing>Prepare automatic clearing.
    AS well see the notes for better understanding.
    Hope it gives better understanding.
    Respectfully,
    Vyas

  • Automatic clearing when small differences exist

    Hi All,
    Need expert advice on following issue.
    *While running Automatic clearing program it leave minor difference in clearing. Later we have to clear manully.*
    AS per my understanding program should clear enter balace. Is ther anything work around for this issue, which i am missing from my side.
    Regards

    Hi,
         When u r clearing Transaction F.13 do the settings in Tolerance settings for rounding off SPRO - financial accounting - general ledger accounting - business transactions - open item clearing - clearing differences                                        
    - Define tolerance groups for GL accounts                                        
    and you can set clearing differences go to SPRO - financial accounting - general ledger accounting - business transactions - open item clearing - clearing differences                                        
    - Create accounts for clearing differences.
    Regards
    Sridhar

  • Recipts with Clearance method by Automatic clearing are not cleared

    Hi,
    I have a receipt class with a clearance method 'By Automatic Clearing' and have the 'Clearing days' in the Remitance bank set to '1' day. When the receipts are remitted I am expecting them to be auto cleared after 1 day. But the receipts remain in the Remitted status. The receipts are getting clear only when i run the 'Automatic Clearing program' manually. Is this an expected functionality or am I missing any setups. Would appriciate a quick response.
    Thanks

    Please find the link to a similar question - Dispute Management - Correspondence with additional attachments
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    In terms of actual actions - workflow can be triggered when an event takes place.

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