Tolerance Groups for Employees in document parking
Dear Experts,
Our client wants to restrict, user should post maximum 2000 USD in a single document. I have created the tolerance group and I have assigned the same to the user.
When I park the document system is not checking the tolerance limits at the same time, when I post the document system is checking the tolerance limits for the same user.
Our requirement is at document parking level.
Please advice how to solve this.
Thanks
Aswin
Hi,
I tried with validation, but there only BKPF and BSEG table fields are available. Table relates to park document is not available.
Is there any other inputs?
Regards,
Aswin
Similar Messages
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Tolerance group for G/L accounts (OBA0)
Hi All,
If i not maintained company code in Tolerance group for G/L accounts (OBA0), what are the transaction codes will not get executed?
as per i know, can not execute f.13, f-03, f-07 and f-06. other then these which are the tcodes will not work?
And please expalin the importance of OBA0 configuration or forward any links.
Regards,
Swethahi
i think you understand this
___path for tolerance groups___
define tolerance group for GlTC-obao
MG® Financial Accounting ® Account Receivable and Accounts Payable ® Business Transactions ® Incoming payments®Manual Incoming Payments®define tolerance group for Gl
Tolerance Groups for G/L Accounts
For G/L account clearing, tolerance groups define the limits within
which differences are accepted and automatically posted to predefined
accounts. The groups defined here can be assigned in the general ledger
account master record.
Define tolerance group for employees.TC-oba4
IMG® Financial Accounting ® Account Receivable and Accounts Payable ® Business Transactions ® Incoming payments®Manual Incoming Payments ®Define Tolerance Groups for Employees.
Purpose:
To define:
The maximum document amount to the employee is authorized to post.
The maximum amount the employee can entered as a line item in a vendor account.
The maximum cash discount percentage the employee can grant in a line item.
The maximum acceptable tolerance for payment differences for the employee.
Define tolerance Group for customersTC-oba3
IMG ® Financial accounting ®Account receivables/payables ®Business transaction ® Open item clearing ®clearing difference ® Define tolerances for customers/vendors
regards
sai
Edited by: SAIKUMAR REDDY.BIJJULA on Oct 14, 2008 2:46 PM -
OBA4 FI tolerance groups for users - GL account
Dear All,
May I know where is the gl account defined for the permitted payment differences? If in FBKP, then which group to define?
ThanksHi
Please use the below mentioned path to define tolerance groups for users and also refer to follow the below link
For normal price difference clearing use the Tcode:OBXL
http://www.scribd.com/doc/51496069/17/Assign-User-Tolerance-Groups
for details please go through the below mentioned points
SPRO>Financial Accounting>General Ledger Accounting>Business Transactions>Open Item Clearing>Clearing Differences>Define Tolerance Groups for G/L Accounts/Define Tolerance Groups for Employees
Upper limit for posting procedure
Maximum Amount Posted per Document
Maximum permitted posting amount per document for this user group.
The posting amount is the total of all debit items or, similarly, the total of all credit items.
Maximum Posting Amount per Line Item
Maximum posting amount permitted per customer or vendor item for this user group.
Maximum Cash Discount Percentage Rate
Maximum cash discount percentage rate which may be assigned by an employee of the user group.
Use
The percentage rate is checked during the entry, change and clearing of open items.
Note
The restriction does not apply to automatically created line items, for example, during payment settlements.
Permitted payment difference
Maximum Payment Difference for Revenue
Payment differences to our advantage are allowed up to the amount entered here.
The amount always refers to the local currency. Payment differences up to the amount entered here are posted automatically by the system as increasing the profit. The system creates line items to show this.
Note
In addition to the amount, you also enter a percentage rate in the Percent field. The lower limit is valid. If you only want to use absolute amounts or percentage specifications, then you must enter the maximum value in every other field.
Note that you define these limits for your customers/vendors and your employees. The lower limit is valid.
Example
The local currency is USD. You have entered 30 USD in the Revenue field and 1 in the Percent field. For incoming payments up to 3000 USD, you accept an overpayment of a maximum of 1 percent. That means, amounts of 0 to a maximum of 30 USD are tolerated, depending on the incoming payment amount. For incoming payments over 3000 USD, you accept an overpayment of up to a maximum of 30 USD.
Maximum Allowable Revenues from Payment Differences
Differences when settling payments are accepted and posted automatically by the system up to the percentage rate entered here. The percentage rate is only valid if the difference is posted as a gain.
The percentage rate is used for the maximum of the debit and credit totals of the items to be cleared.
Note
In addition to the percentage rate, you also enter an amount in the Revenue field. The lower limit is valid. If you only want to use absolute amounts or percentage specifications, you must enter the maximum value in every other field.
Note: You define these limits for your customer/vendor and your employees. The lower limit is valid.
Example
The local currency is USD. You have entered 30 USD in the Revenue field and 1 in the Percent field. For incoming payments of up to 3000 USD, you accept an overpayment of a maximum of 1 percent. That means, amounts of 0 to a maximum of 30 USD are tolerated, depending on the incoming payment amount. For incoming payments over 3000 USD, you accept an overpayment of up to a maximum of 30 USD.
Maximum Discount Adjust. for Gain from Payment Differences
When clearing payments, any payment differences up to the amount specified here are corrected with the cash discount posting as long as the cash discount amount is large enough for the adjustment. The value you specify here is used for differences that represent a gain.
Regards
Praveen PC
Edited by: Praveen Chirakkel on Apr 12, 2011 6:46 AM -
Tolerance Group for G/L Accounts
Hello,
In the spro Financial Accounting>General Ledger Accounting>Business Transactions>Open Item Clearing>Clearing Differences-->Define Tolerance Groups for G/L Accounts, according to SAP documentation it is possible: "For G/L account clearing, tolerance groups define the limits within which differences are accepted and automatically posted to predefined
accounts. The groups defined here can be assigned in the general ledger account master record".
I put these setting:
Company Code: XXXX
Tolerance group: XXX
Name: XXXXX
Debit Posting: 0,01 Percentage: 1,0
Credit Posting: 0,01 Percentage: 1,0
Also I populate in the account master data the field Tolerance group with XXX.
Then I used the transaction for automatic clearing F.13 and when I run this transaction I have two document with amount 100,01 and -100 and there is a difference of 0,01.
I'd like to avoid to have this difference and apply a rounding. How it is possible? The spro transaction seems to be used to accept this rounding and not to delete it during the clearing.
Thanks a lot,
EmanuelaHi,
SAP is not "deleting" the difference during clearing (as you wrote in your last sentence).
Using the function you've mentioned you can define tolerance limits for minor differences to trigger an automatic posting to predefined GL accounts during clearing.
The difference is real, it can't disappear / rounded off.
Best regards, Christian -
Define new tolerance group for G/L accounts
Hi,
Where do define new tolerance group for G/L accounts?
Thank in advance.
SwethaHi Swatha,
Debit Account
Maximum Revenue Difference on Clearing
Clearing differences in your favour are permitted up to the amount specified here. The amount always refers to the local currency. Differences up to amount specified are automatically posted by the system as increasing profits. To do this, the system creates new line items.
In addition to the amount, enter a percentage rate in the Percentage field. The lower of the two limits applies. If you only want to use absolute amounts or percentage rates, you have to enter maximum value in other fields. Ensure that you define these limits for your G/L accounts and your employees. The lower of the two limits applies.
Credit Account
Maximum Expense Difference on Clearing
Differences to your disadvantage are permitted up to the amount specified here. The amount always refers to the local currency. Differences up to amount are automatically posted by the system as reducing profits.
In addition to the amount, enter a percentage rate in the field
Percentage. The lower limit applies. If you only want to use absol amounts or percentage specifications, you have to enter maximum value in other fields. Ensure that you define these limits for your G/L account and your employees. The lower value applies.
May be this information is useful to you
Edited by: surya naveen on Jul 28, 2008 2:11 PM -
Tolerance Groups for G/L Accounts - How to configure
Hi all,
I've got a few basic questions on this topic, hope you can help!
1.
I have created an entry in the transaction "Define tolerance groups for G/L accounts". For this entry I have filled in the company code and tolerance values, but I haven't filled in the tolerance group. Will this tolerance then be applied to all G/L accounts?
2.
What happens if I do allow differences for G/L clearing (through tolerance group) but don't create any accounts for clearing differences?
Kind regards,
SV1.I have created an entry in the transaction "Define tolerance groups for G/L accounts". For this entry I have filled in the company code and tolerance values, but I haven't filled in the tolerance group. Will this tolerance then be applied to all G/L accounts?
If for a specific company code if you keep this as empty - that group apply to all
in case if you define a group and if you give that in the GL Master then talerance limits applicable to that gl.
2.
What happens if I do allow differences for G/L clearing (through tolerance group) but don't create any accounts for clearing differences?
If any difference you are trying to post for clearing particular gl system not finds any gl and gives you the error to do assigne the gl in that
VVR -
Hi,
Can anyone suggest me where can we find the tolerance group for g/l a/cs? If possible can you put the IMG path in return plz.
Reg,
Sridhar.Hi,
call up SPRO and then go to:
Financial Accounting
--> General Ledger Accounting
--> Business Transactions
--> Open Item Clearing
--> Clearing Differences
---> Define Tolerance Groups for G/L Accounts
You could have executed a text search, the system would have proposed the relevant link in the IMG.
Hope this helps,
Rudolf -
Tolerance Groups for Vendors/Customers
Hi Experts,
Where do I define Tolerance Groups for Vendors/Customers?
Thanks!Hi,
Use transaction code OBA3.
Normally the entries are maintained by FI/CO team.
Regards, -
Tolerance group for customer and vendor,
Hello every one,
I NEED your help for testing the vendor and customer tolerance ,recently we configured new tolerance for vendors and customers ,but we are unable to test this new tolerance any know this testing please help we configured in OBA3.AND coresponding config also completed ,when we post invoice in f-22 and when we clear in f-28 by giving different payemnt amount it will accept ,
NARESHHi:
I would recommend you to please go through the SAP help (link given under) to find out what is missing in your configuration.
http://help.sap.com/saphelp_46c/helpdata/en/2a/1a39516e36d1118b3f0060b03ca329/content.htm
Regards -
CO-PA characteristic group for recurring FI document?
Hi.
We have a characteristic gorup assigned to "FI: Postings" - business transaction RFBU, but when the user tries to create a recurring document, using transaction FBD1, she gets all characteristics, so the group is not assigned in this case.
What business transaction should I assign to use the charateristic group in recurring documents?
Thx
ThomasThanks, Anand. RFIG is already assigned, and that's not it. It would surprise me if RFBV is the one (based on the text).
I don't mean to sound ungrateful, but I would really like to hear this from someone who knows - if it's a matter of guessing and trial and error I can do this myself:-) The thing is, I would rather not have to make system changes and transport to QA only to find that it doesn't solve the problem!
Regards
Thomas -
Employee tolerance group&G/L acct tolerance group&Customer/Vendor toler.grp
Hi All,
Can anyone explain me in detail about employee tolerance group, G/L acct tolerance group and Customer/Vendor tolerance group?
what is the difference among them and do they have any linkages, like consistency, conflict etc.
Any responses will be awarded,
Regards,
SamsonHi,
In accounting there are three types of tolerances: Employee tolerance groups, G/L
account tolerance groups, and customer/vendor tolerance groups.
The employee tolerance group is used to control:
1. Upper limits for posting transactions
2. Permitted payment differences
The G/L account tolerance group is used to control:
1. Permitted payment differences (for example, for automatic clearing procedures).
The customer/vendor tolerance groups provide specifications for:
1. Clearing transactions
2. Permitted payment differences
3. Posting residual items from payment differences
4. Tolerances for payment advice notes
The configuration for Tolerance group is:
Tolerance groups for employees, for example:
1. Accountant I
2. Accountant II
3. Accounting manager
Tolerance groups for customers/vendors, for example:
1. Good customers/vendors
2. Not so good customers/vendors
3. Cash only customers/vendors
Tolerance groups for G/L accounts, for example:
1. Clearing accounts (external procurement)
2. Clearing accounts (in-house production)
Regards,
Jigar -
Configuration for tolerence group for vendor invoice.
Hi experts,
For internal controlling purposes, tolerence group for vendor invoice posting required, high value of the invoices can be done by authorised persons only. How to configure .
J.FrancisFirst all go SPRO>IMG>Financial Accounting (New) >Financial Accounting Global Settings (New) >Document >Tolerance Groups >Define Tolerance Groups for Employees
Here you have to create a 2 types of tolerances - 1 for normal user and another for Higher authority
I.e. 1 one - Amount per document - 10000 so that can that group not able to pay more then that amount
2 one - Amount per document - 50000
now assign those Tolerances with user
SPRO>IMG>Financial Accounting (New) >Financial Accounting Global Settings (New) >Document >Tolerance Groups >Assign User/Tolerance Groups
Best of luck
tanmoy -
Hi,
i am having tolerance group at the time of creatin G/L account in t-code fs00
and at the time of creating vendor account, if i give different tolerance group for vendor and the G/L account for the vendor, which tolerance group will it consider.
REGARDS.
VENKAT.Hi,
Tolerance Group for Employees is to post a document and Tolerance goup for Vendor/ Customer for the Open Item clearing. The lower limits from the customer/vendor specifications and employee group are taken in each case during
clearing.
You can use different Tolerance goups.
Thanks
VK -
While doing my GL posting, I cannot go to the next screen because of the following error message. " No amount tolerance range for company code". I have assigned my company code to max.tolerance limits for documents and line items for employees to enter. Any help on this would be greatly appreciated.Thanks.
No amount tolerance range entered for company code
Message no. F5103
Diagnosis
No tolerance group is specified in company code
In a tolerance group you define the upper limit for a posting.
Procedure
If you have entered the correct company code, ensure that at least one tolerance group is created for this company code and that it is also assigned to the company code. You do this in Customizing for Financial Accounting under Financial Accounting Global Settings -> Document -> Line Item -> Define Tolerance Groups for Employees.
Edited by: Taz75 on Mar 19, 2009 8:32 AMHi,
Goto OBA4 - FI Tolerance Group for users.
This has to be filled without fail else postings would not happen.
Goto new entries and fill in the following details.
Group : Blank
Company Code: Your Company Code
Currency :INR
Amount per Document : 99,999,999,999.00
Amount per open item account : 99999,999,999.00
Cash discount per line item : 10%
Save it.
Now try posting.. It will post now..
Cheers
Redoxcube -
Wat is assign/user tolerance groups
hi
can some one explain wat is "assing user/tolerance goups in img.how it works.and wat i should i consider when assing this tab to usersHi Iqbal,
Tolerance group mean user level i mean Clerical leval
For Exam:1. Accountant level 2.Financial manager level like that. Accountant level some cash discount or some big amount can't able to give to vendor. But Financial manager level can possible.
the configuration path
IMG > Financial Accounting > Financial Accounting Global setting > Document > Line Item > Define Tolerance Group for Employees > then after configuration Assign User/Tolerance Groups.
Bharathi
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