Txn FF67 (Process manual bank statement) auto printing

Hi SAP,
Why after i post individual statement in Txn FF67, the system produce report (auto printing). Is there any way to stop the printing eg: in config or any settings? Because it waste our paper. We don't need that report. I did check in maintain user profile Txn SU3 but the box button print immediately is already unchecked.
I will give points for those who help me solve this problem.
TQ
Regards,
Nazrul

Hi,
Please refer SAP Note No.549119, it gives where all the possibilities of auto printing.
I am just copied the relevant text for you.
[4] Question: How do I activate the immediate print?
Response:
There are three places where you can set the immediate print indicator:
in the fixed values of the user
in the report variants of the print programs
by planning a batch job
If at least one of the three flags is set, the immediate print is activated.
Can you please check and let me know.
Regards,
Ravi

Similar Messages

  • Error in process manual bank statement

    Hi, all!!!
    I am having a pontual problem about a process manual statement in order to record manual bank statements in the system using the transaction ff67.
    Error message:
    Bank account number not unique
    Message no. FV005
    Diagnosis
    The bank account with the data
    Bank key         00193309
    Account number   42573
    Account currency BRL
    is entered into several house bank accounts in the house bank directory.
    Procedure
    Check your house bank directory.
    I´ve checked all tables T012*
    I did not find other house bank in the house bank directory with the same house bank account.

    Hi Ravi,
    Can you please clarify my below doubt.
    Your statement"Please note that the statement numbers must be unique for Bank Statements."
    Here when we unable to give the statement number which is already available in system, how it is possible to give the unique for bank statements.
    Apologies if any mistake in my question, as I am new to SAP.
    Thanks,
    Murthy

  • Processing Manual Bank Statement

    Hello Everyone,
    This question is regarding the Manual Bank Statement,
    1) I have uploaded the Bank Statement through FF67 and saved. 
    2) Processed them through FEBA
    3) While Processing FEBA, the system proceeds to the GL A/c clearing screen, but it is not clearing(automatically) based on the Cheque number mentioned in the Assignment field.
    4) I have mentioned the interpretation algorithm (015 Clearing based on Assignment) in the configuration under Bank Accounting.
    Kindly reply, if anyone have a wayabout.
    Regards,
    Nathan Janardhana

    Thanks to all,
    The problem has been solved. In FF67, we previously mentioned check number in assignment field, but system gave the message "Bank Reference is not filled". Hence I maintained this field in the Variant and mentioned the same cheque number in this field too. Its working fine now and any comments on this, kindly bring it up.
    Regards,
    Nathan Janardhana.

  • Error in process manual bank statement in FF67

    Hello SAP Gurus
    He is trying run the FF67 for month of 31.08.2010
    But while running the  user..he is  getting in the following error
    Statement date is not correct
    Massage no FV069
    Diagnosis
    The entered statement  date 2010/08/31 does not match the statement date 2010/01/31 specified when creating account statement .
    Procedure
    enter the value 2010/01/31
    Can any body please give me suggestion based on above issue
    Thanks and Regards
    sudharshana vamsi

    Hi Ravi,
    Can you please clarify my below doubt.
    Your statement"Please note that the statement numbers must be unique for Bank Statements."
    Here when we unable to give the statement number which is already available in system, how it is possible to give the unique for bank statements.
    Apologies if any mistake in my question, as I am new to SAP.
    Thanks,
    Murthy

  • Process manual bank statement  ...

    Hi,
    We are having the following G/L account for Bank XXX
    xxxxx0 for Main A/c
    xxxxx1 for Cheque issued
    xxxxx2 for Cheque deposited.
    Earlier we were doing manual bank reconciliation thro FF67.
    Last two years this excises not been carried out in sap and there are 50000 line open items are available in Cheque issued and cheque depoisted account since 2005
    Now we wanted to restart again the process FF67.
    How to clear old open items and start upload current month bank statement.
    Please give your suggestion.
    Best regards
    Raja Manhoharan V.S.

    Can you confirm that the balance of account 0, 1 & 2 equals zero?
    If so you can manually clear all three GL accounts together for the date range.
    However I doubt that is the case.
    In terms of clearing, you normally have a common number in the actual banking transaction, i.e. payment and from the bank statement.
    So if you were using FF68 to enter payments, you would normally have the batch number in the payment side, send that to the bank and they would then send that back to you as part of the statement upload, so the two entries there should clear.
    Can you confirm if you have any similar logic?
    If not, I guess it is going to be a manual thing for the time being.
    However if you are saying you are going to start this up again, and you want it to clear in the future plan some logic so it can be cleared by f.13
    please assign points if useful.

  • Manual bank statement(FF67)

    Hi all
    CAn any one let me know is it possible to enter tax code  while processing manual bank statement (t.code FF67)
    Thanks & Regards
    Phaneendra

    any inputs?

  • Manual Bank Statement - Posting in FEBP Issue

    Hi Experts,
    Our Test scripts on Manual Bank Statement Processing requires us to 1. Process Manual Bank Statement in FF67 and 2. Post the entry in FEBP.
    We were able to process the transaction in FF67, but not able to post in FEBP. We have tried by giving following parameter in FEBP:
    Bank St Details like date, statement number, house bank id, account id and company code and Pstg Param as Post Immediately, Assign Value date to Account and Output Cntrl as Print Bnk Statemetn and Print Posting Log.
    We are getting the following Error: "List Contains no data"
    But we are able to Post this transaction in both FEBAN and FF67. I like to get some experts opinion on this issue to fix it. Thanks in advance!
    Ganesh

    Thanks for your Input.
    Just thought of further detailing my scenario and get your inputs to proceed further:
    When I say, I have updated FF67, I have updated the Transactions in Process Manual Bank Statement Screen and hit Save Icon and I have not posted the transaction in FF67.When I come out of FF67, it was giving an warning message that transaction was not posted still want to Exist? I was then giving Yes and going to FBEP to pull out those details and post through FEBP, it was giving above mentioned error. List Contain no data.
    But I was able to Post it either in FF67 itself or through post processing transaction FEBAN. Is there any GL Posting Assignment setting relating to this issues?
    Ganesh

  • FF67 Manual bank statement transactions not updated in G/L accounts.

    Dear All,
    The user has posted the Manual bank statement in the FF67 and saved. But the postings are not updated in the G/L accounts but in FF67 the bank statement is showing that "posting completed".  When I check that The Job name has finished successfully in sm37. but when I check in SM35 the batch session also has been created with the same user ID. But it has not processed.
    When i ask the user he is saying that they don't process the Batch input session. They just save the FF67 T.code. after some thime the job will complete and post to the G/L accounts.
    Please could any body let me know what could be the problem.
    When we enter the FF67 the system will ask the start variant and the processing type. There are 4 options in the processing type. could any body explain me about the 4 options.
    Regards,
    Mr.Rao.

    Dear All,
    Here the user has selected the processing type is 2. That's why the system is created the batch input secssions. so the G/L accounts will be hitted after the batch input secssion are processed.
    Regards,
    Mr.Rao.

  • Manual bank statement processing unusual behaviour

    Dear All,
    I was trying to do Manual bank statement processing using FF67. It was working fine.
    Then I again tried, but this time, the status is in green. The document is not posted, it dosent appear in FBL3N bank account and document number is not generated. Document number field has " * " instead of new document number.
    Also the account balance is updated with some arbitrary number. This happened thrice.
    Today morning, it worked fine, creating a posted doment and updating the balance correctly.
    I am wondering what has happened three times in between, that the system behaved in an unusual manner, displaying status in  green.
    It would be appreciable if anybody can through some light.
    Thanx a lot.
    Karan a

    Dear Karan a,
    Pl.s refer to question 3 of note 549277.
    'the bank statements show up as "posted",but never hits the ledger account'. The logic is that the system assumes that the postings in batch input session will eventually be made successfully, it then indicates that the line items of the account statement are posted. For the actual posting to be done you'll need to process the batch input session which is currently showing 'New'.
    Hope the above infor. could helpful for you!
    With Best Regards,
    Gladys Xing

  • Manual bank statement - FF67 error

    i do not have bank statement. So i am trying to upload manual bank statement.
    I used TCode FF67. After Tcode, in next screen, it asking, bank id, housebank, etc. Also it is asking about opening & close balance. I entered close balance Rs.10000 (on random basis)
    Now it took me to next screen where i have to put Transaction Key (which i define), value date, Amount, doc number, etc....
    After i pressed enter, i gave following error:
    "There are no transactions that have this amount's plus or minus sign"
    My question...
    1. After  FF67 & filling detaisl like bank id & all, the page to which it took me is the page where i have to put transaction shown in my bank statement (recd by bank)
    2. How to overcome the error mentioned.
    I have posted the trasaction thru that bank.

    Hi,
    I m from Mumbai - India
    I have done FF67 all settings & i have checked all the settings.. All appear to be correct.
    I enter closing balance & statement date. I enter the details from bank statement. After that i press 'save' for two times. After that i see in SM35. But my programme is not appearing there....
    Let me know the error...
    NOTE: I have put for processing type as '3' (i.e. further processing in background) in the variant

  • Documents generated after processing of manual bank statement

    Dear All,
    Can any one tell how to see the documents which are generated after the processing of manual bank statement (FF67)
    Regards

    Hi,
    You can use transaction FB03 where click on the document list, here click on multiple selection and add transaction code in to the list. Enter transaction FF67. Make sure you are entering correct posting date and other parameters.
    Regards,
    Chintan Joshi.

  • Error while posting FF67 "Manual Bank Statement"

    Hi all,
    I have a problem when I was posting u201CManual Bank Statementu201D
    In Transaction Code: FF67 when I am posting the following error is coming:
    u201CBank account does not existu201D
         Message no. FV003
    Diagnosis
         The bank account number 211001 could not be found.
    Procedure
         Check the bank account number or the corresponding entry in the
         directory of the house bank accounts.
    Note: in the aboove "211001 is my Check deposit G/L a/c numhber"
    Can any one tell me complete solution to post an Manual Bank Statement.
    Itu2019s very IMP to me.
    Thanku

    Hello Mahesh,
    Please check the following points.
    a) In case if the Bank Account number in the account statement exceeds 24 places, you can get this error.
    b) Note 823808 is not yet implemented (either manually or through support packs) in the system
    In case, even after checking the above points you still face the issue...then please inform a developer in your team to check the logic in Function Module GET_BANK_ACCOUNT during debugging FF67.
    Hope this info helps you resolving the problem.
    With Regards
    Vijay Gajavalli

  • Configure manual bank statement ff67

    Hi!
    I am configuring manual bank statement in ff67 for my Indian customer (I am from Sweden and has not worked with it before).
    I have created three banks accounts:
    One main account
    One incoming account
    One outgoing account
    I have also created the house bank.
    How do I configure transaction code named ZBSR for outgoing payment with assignment reference and ZBSD for incoming payment.
    Thank you very much in advance!
    BR Åsa

    Hi.
    The customizing is difference according to your business requirement.
    For example you have a customer invoice document:
    01 customer 100 USD / 50 revenue 100 USD.
    Then you want to clearing Customer invoice direct with bank account in FF67
    then you have to define in your posting rule , posting area:2, as below:
    Posting Key         40                                    Posting Key
    Sp.G/L Indicator                                          Sp.G/L Indicator
    Acct symbol         Bank account                   Acct symbol
    Document Type       DZ
    Posting Type             8
    Posting on acct key
    Reversal Reason
    if you want to use a Interim bank account to clearing the inovice, then you should define
    then you have to define in your posting rule as below:
    Posting area 1
    Posting Key         40                 Posting Key         50
    Sp.G/L Indicator                       Sp.G/L Indicator
    Acct symbol         BANK            Acct symbol       bank clearing account
    Posting Key         40                                    Posting Key
    Sp.G/L Indicator                                          Sp.G/L Indicator
    Acct symbol        bank clearing account        Acct symbol
    Document Type       DZ
    Posting Type             8
    Posting on acct key
    Reversal Reason
    So it is necessary to do the customzing based on your business reqirements.
    and in your case->you want the account 198001 to be credited in ff67 and account 198000 to be debited
    Can you confirm whether the bank account defined in FI12 in your hourse bank/bank key is 198000, if yes, then you could define account symbol as below
    Acct symbol: Bank with **********
    Acct symbol:bank clearing account      with *********1
    then the following document will be posted after run FF67
    40 198000   100 USD/  50 198001      100 USD
    40 198001   100 USD/  15  customer  100 USD
    The vendor is the same senario.
    Hope above information are useful to you!
    Addition, you can use T-cd:OFTD, menu->business volumn->manually bank statement to find all customizng you should define.
    With Best Regards,
    Gladys Xing

  • Process manaul Bank Statement - FF67

    Our SAP sytem went live in 2006 with the bank balances being loaded at that time to the REAL account  10030 for one of our subsidary companies.
    Since that time up to now items have been posted to the sub accounts 10031-10034 with no reconciliation being done from these sub accounts to the real account 10030.
    At this time the accounts have to be reconciled using transation code FF67
    However, is there any way to bring the real account balance current as of 31.12.2010 without having to reconcile each line item one by one as there are hundreds of transactions within each sub account.
    Any assistance will be appreciated.
    Regards,
    Niketa Noreiga
    Edited by: NNoreiga on Mar 24, 2011 9:04 PM

    Hi,
    First of all if you should prepare bank reconciliation statement manually and once you know the actual open items in bank sub-accounts which are tallying the main bank account closing balance with bank statement balance as on 31.12.2010, then you can do follow the following:
    1) You need to pass journal entries transferring open items in bank sub-accounts to main account (yearly) and clear the sib-account open items using F-03 manual clearing transaction.
    2) Once you clear open items in your sub-accounts, ensure that open items should remain in bank sub-accounts as on 31.12.2010 as per your manual bank statement.
    Hope this will help you.
    Thanks & Regards
    Sarma Bhamidipati

  • FF67 - Manual Bank Statement, what is Customer matchcode  (sel.)?

    Hi Expert,
    In FF67 manual banks statement customization, we have a field called customer matchcode  (sel.) (FEBMKK-KUNNR_MC) under the Define Variants for Manual Bank Statement (OT43).
    Questions:
    Could anyone highlight me what is the customer matchcode  (sel.) (FEBMKK-KUNNR_MC)?
    Where is the master data (should it be in customenr master data level) set for the customer match code?
    What is the fields that are commonly used for FF67 manual banks statement?
    Thanks in advance.
    sbmel

    Hello
    Please check the following link on match codes
    http://help.sap.com/saphelp_40b/helpdata/es/cf/21ef1f446011d189700000e8322d00/content.htm

Maybe you are looking for

  • How can i plot a histogram with using the results of Line Length

    PLS HELP.How can i prepare a histogram with using the results of line length code(It is somewhere in the middle). This is a final exam take-home question. I would appreciate if you can help? import java.awt.*; import java.awt.event.*; import java.io.

  • Closing Error

    When I close Itunes 7.7 I am getting a "Itunes has encountered an error and needs to close" message. This message comes up after I have already closed Itunes. I have tried completely removing and reinstalling Itunes. I get the same results. I have no

  • My computer keeps needing to restart and the computer won't allow me to submit error report to apple

    My IMAC keeps prompting me to restart after the screen turns grey. Essentially, after a few hours of use, the screen turns dark grey, filling in from the top to the bottom slowly. Once the screen has the dark grey hue, directions pop up in the middle

  • Require to put tax amount manually

    Hello All, The current system we are using external tax procedure ( Vertex) as tax solution, but it doesn't meet client's business requirement. As an alternative solution for SD pricing, client would like to use one tax condition type allowing billin

  • Can't install osx leopard on my "new" hdd

    I'm tring to install osx leopard on my g4. when I select my new 200gb ide hdd installer told me I have to initialize volume first. I go to disk utility and do it creating a new volume journaled etc. and it seems ok. I aldo use repair and test button