Suspens account automatic clearing

Hello!
I need to run an automatic clearing for a bank suspens account but my issue is that the payment document (from F110) and the bank transfer doesnt have fields in common. Asking the bank to change the assignment or text field is not an option for me....
The only thing I found as connexion between these two documents is the text field from the bank transfer document which contains the document payment number BUT among more characters. Do you think it is possible to extract the document number from the text field and link it somehow with the automatic clearing OB74?
I will appreciate any comment!
Thank you in advance,
REgards
M

Hi ,
Can you go in FBl1n and fo mass change for assignemnt field. Then set rule for assignment field in OB74 and run F.13.
or  do mass change for text field and do te settings in OB74 for yoru GL account .
Many Thanks

Similar Messages

  • GL account automatically cleared by the bank statemetn document

    Hello all,
    I would like to ask you a question.
    We have done the payments by payment run to the vendor , FI document 2000008482  has been created, Then we received the bank statement which created the document 101481822 and the GL account used for this payment  2435000022 was automatically cleared by this bank statement documents 101481822
    Usually they do manual clearing by f-03 but for the accoutn 2435000022  its automatic
    I have 2 questions
    1. where in customizing you set up this option that the GL account is automatically cleared when posting bank statement
    2. if they need to reverse payment document, how this could be possible? as if they want to reset the clearing docuemtn, they would have to reverse the bank statement document
    thanks for your feedback, its reallt apprecited
    regards
    Hana

    You should feel happy if the system clears the payment document. This what the behavious is expected.
    When you made the payment it goes to bank sub account, then when you upload the bank statement, then the system expects to clear based on the cheque number etc.
    However, if you do not want you can still stop them from clearing and then entry only gets posted. But again, you will be doing the same job what the system is doing by using F-03 or F.13
    Please check your posting type against the posting rule
    SPRO ==> Bank Accunting ==> Business Transactions ==> Electronic Bank Statement -==> Make Global Settings for Electronic Bank Statement ==> Posting Rules
    Thanks,
    Ravi

  • Automatic Clearing - Open Item GL Account

    Dear Friends,
    We have created the Bank Clearing Account as an open item management account. The account would be credited while making the payment to the vendor thru automatic payment run and debited once the payment has been cleared from the Bank. We would like to do the automatic clearing of the open items like GRIR account. Could you please advise what maintenance is to be done on the Config side and which T Code is to be used.
    Thanks for the help!
    Regards

    Dear Raj,
    Bank clearing accounts is used to for Bank Reconciliation purpose . If you like to automate this process you have to configure Electronic Bank Statement process. You can check the below links
    http://wiki.sdn.sap.com/wiki/display/ERPFI/ElectronicBankStatement
    http://www.sap-img.com/financial/customizing-an-electronic-bank-reconciliation-statement.htm
    Note: There are so many posts with regards to Electronic Bank Statement process, you can search from the forum also.
    Thanks and regards
    Praveen.J

  • F.13 automatic clearing G/L Account in Amount in Local Currency

    Hi gurus:
    I need a lot of help with t-code F.13.
    I need clearing a lot of line items in one GL Account. every one has the same Assignment Number and has in local currency (CLP), but one of them is in USD.
    When i call the transaction, I fill the follow fields, but the system doesn't clear the items and shows follow message "B  No clearing (difference too large)" .
    Company code                    CMF
    Fiscal year                     2009
    Assignment                      2009
    Select GL Accounts        X
    G/L accounts                    21070016
    Clearing date                   30.06.2010    
    Clearing Currency               CLP
    Permit individual line items   X
    Include Suppl Account Assign X
    I tried with the follow configuration in OB74
    S     21070016     21070016     ZUONR     DMBTR
    But system cleared certain items, not everything.
    ¿How can I do a automatic clearing when i have documents with differents document currency? ¿Is it posible to do a residual items from F.13?
    Greetings and anticipated thanks
    Marco

    Hello Raj:
    Thanks for your reply. Look, the difference that I found between both t-codes is the field: Clearing Currency.
    I've executed many times with that field empty and CLP. But the result is the same "No clearing procedures were carried out".
    Also I've tried with different combinations of this checks:
    F124BVK - Special Processing (Clearing Currency from Assignment Field) (I dont know how to configure this)
    F124ALW - Expiring Currencies
    F124TOLEB - Consider a Single Line Item for Tolerances
    F124NKON - Include Supplementary Account Assignment
    What can I do now?
    Thanks a lot
    Marco

  • Automatic Clearing of GR-IR Clearing account

    Dear all
    In f.13 i am not able to do automatic clearing of rg-ir clearing account ,i am getting the massage no clearing procedures are carried out despite all selection criterial fulfilled .
    This is needed because i want only credit balances in GR/IR account after clearing which i will get in FBL3. There both the credit and debit entries are coming . Is it possible that if GR and IR is completed for perticular material amount is same then it sould not appear in report fbl3.
    vijay

    Hi,
    Before performing the GR/IR Clearing, just to ensure that there are no open debit entries in the GR/IR Account, run the report thru the T Code "MR11" - Maintain GR/IR Clearing Account. While specifying the parameters, under the 'Clear Tab' check the boxes for GR/IR Clearing Account as well as Delivery Costs, this will take into account all GR/IR entries, ones meant for materail cost as well those for planned delivery costs. Under the 'Surplus Types' Tab check for Delivery Surplus as well as Invoice Surplus. Since we are just running a report ensure that under the 'Processing' Tab - "Automatic Clearance" is UNCHECKED. In the quantity variance put 100%.  Exececute the report and all cases wherever there is a difference between the Quantity delivered and Quantity Invoiced,  will get reported. Look for the cases where the Difference Quantity appears in minus. These are the cases where the quntatity invoiced is more than the quantity delivered and will result in open debit entries in GR/IR Account, even after the GR/IR Clearing is performed thru F.13. Investigae these cases and take appropriate action.
    Assign points if found useful.
    Thanks.

  • F.13 Automatic clearing of GR/IR accounts

    Hi gurus,
    I'm trying to clear two GR/IR accounts using F.13.
    In OB74 i have maintained Criterion-1 as assignment field(ZUONR).
    With the first GR/IR account, I have no problem doing the clearing as the Assignment Field contains the Purchasing Doc.
    While, on the second GR/IR account, the Assignment Field contains the Posting Date.  I did a mass change on the Assignment Field and was able to change it to the Purchasing Doc.
    The problem is, even there are matched items in the account based on the Assignment Field, the automatic clearing F.13 says that "No G/L account documents selected" and nothing is cleared.
    Please help.
    Thanks and regards,
    Nuke

    Hi,
    I found out the cause already.  The GL account was not marked "Open Item Manage" thus previous postings can't be cleared.
    Now my problem is, is it possible to clear those previous postings?
    Thanks,
    Nuke

  • Problem in clearing GR/IR clearing account thru' F.13 (automatic clearing)

    Hello,
    While clearing the GR/IR clearing account thru' F.13 (automatic clearing), the system is not giving any error in the test run.But, at the time of Production run following error is given " Account blocked - no clearing  XXXX (GR/IR clearing a/c) XXXXXX(doc no)...No clearing procedure carried out"
    The doc no which is coming in the error is the MIGO accounting doc no.
    We have defined the automatic clearing rule on Purchasing doc & Item no.
    Both MIGO & MIRO are correctly done
    Kindly help.
    Regards,
    WNR

    Hi,
    You need to define the automatic clearing rule on Purchasing doc & amount combination and try once.
    Thanks & Regards
    Sarma Bhamidipati

  • Automatic clearing from one account to another

    Hi,
    I have a g/l account that I want to automatically clear each month to another account?  Is that possible?  I know about f.13, but I am interested in automatically transferring an entire balance each month from one account to another.
    Thank you

    Hi:
              Are these both accounts maintained on Open item management? If yes then you can do the balance transfer manually using F-04 (post with clearing button). Automatic clearing will not cater your requirement since it clears the GL balances as per specified criteria in OB74 . For automatic balance transfer i guess .there is no such way to do in SAP.
    Regards

  • Automatic clearing of accounting documents

    We are having an issue with accounting documents for our credit card orders getting cleared automatically as the billing documents are created.  This looks
    like a standard SAP functionality.  The orders are created with credit card number and it gets authorized.  When the billing document is created, it posts the  document to accounting and it clears automatically.   Is there any user exit that I can use to not make the document clear automatically?  Which function module does this use to do the automatic clearing of the accounting document?  We also create Repair orders with credit card number in it, but not authorizing the credit card while order creation.  Because it does not authorize the credit card, the accounting document for Repair order does not get cleared automatically which is what we are trying to accomplish for our regular authorized credit card orders also.
    Thanks!

    Thanks Rafael.  But we want it to post to accounting, it is just the clearing part we are trying to avoid.

  • Automatic clearing of VAT accounts as criterion Profit center

    Hello all,
    We are trying to make automatic clearing for our VAT GL Accounts thru transaction F.13 and the criterion Profit center on table TF123.
    The requirement is to clear the VAT line items form invoices against the documents generated by standard VAT declaration S_ALR_87012357.
    This is not working as the profit center is not populated in Bseg on VAT line items, only in FAGLFLEXT.
    How can we clear the VAT line items based on profit center automatically, is anyone already done this ?
    Thank you
    Tamim

    Thank you Mahesh,
    The posting document generated by VAT declaration regroups many VAT postings, example
    If I have 10 Invoices with VAT (each invoice with different Assignment), the VAT declaration will generate only 1 document, and regroup the different invoices VAT amount  by profit center.
    That's why assignment is different between VAT line item, and VAT declaration document line items.
    Also, we do not have PO number most of the cases.
    We really need clearing on profit center as it seem the only shared value.
    Is there a solution for this issue ?

  • How to clear cenvat clearing account automatically

    Hi all
    will any one help me in making me understand as to how the cenvat clearing account can be automatically cleared.
    What exactly i mean is -
    When we do MIGO, the cenat clearing account is automatcially credited  and RG 23 A is debited.and
    When we do MIRO, the cenvat clearing account is automatically debited and vendor is credited.
    if this is the case, i find that the cenvat clearing account which is getting credited in MIGO and debited in MIRO is still showing as OPEN ITEMS when i view the cenvat clearing general ledger account in transaction code - FBL3N .
    How should i make the Cenvat clearing account to automatically get cleared and should show the line items cleared automatically, with out going through the t code f.13 etc.
    Thanks in advance
    Regards
    Rishikesh

    Hello
    Check if this is of help.
    Also check MM/FI integration for 23 transactions. Check if a/c assignment is set.
    CENVAT Document
    Definition
    An accounting document that the system automatically creates when it generates a Part II entry.
    Use
    Customizing
    Specify which document type you want the CENVAT documents to use, in Customizing for Logistics – General, by choosing Taxes on Goods Movements ® India ® Basic Settings ® Maintain Company Code Settings.
    Day-to-Day Activities
    When the system generates a Part II entry for an incoming excise invoice, it creates a CENVAT document to debit the excise duty to the excise duty account, and credit it to the CENVAT clearing account:
    The excise duty is cleared from the clearing account when the accounting clerk enters the vendor invoice.
    When the system generates a Part II entry for an outgoing excise invoice, it creates a CENVAT document to debit the excise duty to the excise duty account, and credit it to the CENVAT suspense account:
    Reg
    assign points if useul

  • Automatic clearing bank GL accounts

    hi friends,
    we have a problem with automatic postings today we are getting bank statements
    from the bank for the salaries payments we have made, Automatic clearing is happening when we are receiving the bank
    statements it is clearing the bank clearing account but we want to clear another
    GL account eg: wages account which we are doing manually today by a debit
    entry on wages GL account and credit clearing account. friends how should this be possible automatically.
    correct me if i framed the question rite?
    its urgent!!!!
    thanks
    regards
    charlie

    Hi Vishal,
    I have changed the sort key on Bank Sub Account to Amount in Local Currency.
    When I am posting the payment document, the amount is getting populated in the Assignment Field.
    But the problem is coming when I post the Bank Statement. I tried to post the Bank Statement through Batch (SM35) to see what is getting populated into the Assignment field. The assignment is getting populated from Header Text, which is differing from Amount in Local Currency.
    If I change the manually to amount and post it, then it is clearing based on the clearing criteria set to amount in local currency. But this is not possible to change manually, as there could be number of items.
    Could you please let me know me know at the time of posting of manual bank statement I should be able to populated the value mentioned in sort key i.e., amount in local currency, but not the Header Text.
    Any valid inputs will be highly appreciated.
    Regards,
    Ravi

  • F.13 automatic clearing but ignoring reconciliation account

    I have the following issue. I have got two open items on my customer. One debit and one credit amount. The two lines have got the same value and also the same value in the assignment field. The only difference between the two lines is that they have different reconciliation account. These account have been determined based on the reconciliation account determination within SD. The problem is that I can clear the two manually. But the system does not clear them automatically. Another important detail is that I have not set the reconciliation as part of the criteria for automatic clearing. Did anyone face this issue before. It is also important to tell that I have used special gl indicators.
    Can annyone tell me what is the best way to solve this issue.
    Thanks in advance.

    Well my guess is that I'll have to copy it to a Z-program. So if annyone has done this modification before some help would be usefull... Because this is a pretty huge program ...
    Or if annyone knows a user exit / badi i could try ...

  • Automatic clearing by Account ID (HKTID)

    Hello,
    I want to clear several invoices with one unic payment, the way I choose to clear is by account id (as in the assignment field I have the invoice number informed  when the case is one invice one payment clearing).
    I already have created at OBA7 the following condition:
    D     1     9999999999     ZUONR
    If I want also to clear these specific invoices that should clear just with one payment with hotel id, should I add the following conditon??
    D     1     9999999999     HKTID
    I guess something is missing because the system obviously doesnt allow me to add the same condition for clearing customers...
    Thanks for your help
    REgards

    Notice, thera are no automatic clearing in SAP without manual execution start. You must use F.13 and define rules for clearing as I said.
    Answering your question If you want define automatic clearing for customers you have to maintain following rules in OB74:
    1 - Account type: D
    2 - From Acc: 0; To Acc: 9999999999
    3 - Criterion 1: HKTID
    The system will select item Type D, for all customers, and clear according Account ID. Example:
    Entries:
    D - 10000 - ACC001
    S - 10000 -
    K - 10000 - ACC001
    D - 10001 - ACC001
    D - 10000 - ACC002
    D - 10000 - ACC001
    Cleared Items:
    D - 10000 - ACC001
    D - 10000 - ACC001

  • EBS- Automatic clearing & posting to customer on-account

    Hi FI Experts,
    I'm hoping that you can help with the following SAP electronic bank statement (EBS) setup:
    In EBS configuration, we have setup posting rule to clear customer sub-ledger (posting type 8). This is achieved using algorithm 31 u2013 Doc number search (customer no from doc line). So when MT940 file - note to payee field has correct doc number (invoice no), system clears the customer open item automatically
    Now the requirement is if the note to payee field doesnu2019t contain correct document number (or missing doc number) but has the correct customer number- Is it possible to post the amount to the customer account based on the customer number available in the file? Business team can clear it against the invoice later manually. In summary, if doc number is available system should clear customer open item; if doc number is missing but customer number is available system should post the incoming amount to the customer account.
    Is it possible to setup the above logic using standard EBS rules; if yes how? or do you reckon a development is needed?
    Appreciate your inputs
    Thanks,
    Kalyan

    Hi Experts,
    I got this resolved by using the enhancement FEB00001.  If the field "Distribute by age" is activated through this enhancement, then system will be able to match the paid amount and the combination of open items for automatic clearing.  If there is no exact match, then automatic clearing through FF.5 is not possible as indicated in SAP Note 124655.
    There is no more necessity to use BAdI FIEB_CHANGE_BS_DATA.  Complete relevant logic can be maintained directly in the enhancement itself.
    Have a nice day.
    Regards,
    Sridhar

Maybe you are looking for

  • How to setup Invitations in iCal on a Server

    Hi everyone! Since some time now, I'm facing slight difficulties using iCal in conncetion with its built in invitations feature. So here's my problem: Some how we're not able to send innvitations via iCal to some of our staff members. We have 15 staf

  • Adobe Photoshop CS3 crashing on start-up

    When starting Photoshop CS3, I can get all the way to the "Initializing shared components" message before the program crashes and has to close. It does this during every start-up. The only major changes I made before the problem began was I uninstall

  • Error while trying to populate a table and refreshing

    Hello, I have created a java class in which i have the POJO's(non BC) and generated data controls off the java class. The java class also contains a list (of user defined objects - lstPriceeventTypes) which i have dropped as a table on a jspx. When i

  • Function module to check if a file is already open

    Hi All, Could any one of you tell me a function module which checks whether a given file on the application server is currently being open or not. Regards Amit Mishra

  • 3.0.9.8.3 patch availability

    when will 3.0.9.8.3 patch will be available ? this month ? thanks