Vendor Account in FB60

Hi,
My client is asking when they are watching GL line items display the vendor account field is blank for document type KR.
And these KR invoices are posted in TCode FB60. But I saw that there is no field to put vendor account while entering the transaction.
I checked field status group of GL, but did not find anything.
Please tell me how to add vendor account field in FB60, so that user can put it and it will display in GL line item display.
Best Regards,
Tapan Patro

Hi
Check this
Display Vendor Code in FBL3N GL Line Items
Thank You,

Similar Messages

  • Restrict FI postings from FB60 at vendor account group level

    Hi Experts,
    We have a requirement whereby the authorization for posting from T-Code FB60 should be controlled at vendor account group level (LFA1-KTOKK).
    We are also fine with restrictions at vendor master authorization group level (LFA1-BEGRU/BRGRU).
    So a particular user should be able to post to a vendor in acct grp A but not acct grp B from FB60.
    However, it seems that T-Code FB60 checks only objects BKPFBLA, F_BKPF_BUK, F_BKPF_GSB, F_BKPF_KOA.
    Neither of the above 2 fields are available in these 4 objects.
    In case you have a solution for restricting FB60 postings, please reply.

    Hi.
    In vendor maser data you can maintain LFB1-BEGRU='vendor group', and check it in F_BKPF_BEK-BRGRU

  • Error while creating vendor invoice by FB60  Urgent!!!!!!!!!!

    While creating an vendor invoice by FB60 . the system is giving me an error message that this account cannot be directly posted to. Its an recon . Account. The user wants me to set it temporarily for some invoices and set back the GL account later on. Could anyon esuggest me. Its urgent please.
    Thanks in Advance.

    hi kavitha ,
    the acct 12501550 which is advance payments is an accrual acct which is not a recon a/c
    check the gl seetings
    in Type and Description tab
    make sure its a balance sheet acc
    in Control tab
    remove the recon. account for acct type  , i.e., leave the field blank
    generally , the line item display is clicked and sort key are filled.
    in Create/bank/interest Tab
    check the appropriate FSG and make sure to uncheck the post automatically field.
    and try to post it after the changes, it shoud work.
    regards
    Jay

  • Steps to upload vendor invoice(tcode fb60) in bdc

    hi, iam srinivas can any one plz send me the steps to upload veneor invoice tcode is (fb60).i dont want the code but i want the steps to create .
    thanks and regards.
    Srinivas.

    refer this site.
    FI_AP_FBR2_Post_With_Reference (FBR2)
    Business Process Description Overview
    Use this procedure to copy a previously posted non-PO invoice document that uses many of the same values.
    This may help reduce data entry time if used correctly.  For example, the library invoice vouchers that have the same vendor but many invoices on them might be a good example of when to use this transaction code.
    Trigger
    Perform this procedure when there is an invoice that needs to have data entered where most of the fields are the same as a prior invoice document already entered in the system.
    Prerequisites
    ·         Security Role:  AP_DIR_INV_ENTRY
    ·         An FB60 invoice has already been data entered.
    Menu Path
    None
    Transaction Code
    FBR2
    Tips and Tricks
    ·         If you would like to save this transaction under your "Favorites" folder, right-click on the "Favorites" folder, select "Insert Transaction" and type in this t-code when the box appears.
    ·         You may use the transaction code:  search_sap_menu to search for a transaction codes menu path.
    Procedure
    Enter Vendor Invoice: Company Code PUR
    Typically the FBR2 - Post With Reference transaction is accessed from the Financial transaction code that you just used.  For Accounts Payable, typically we would use the FB60 transaction code to enter invoices that are not PO-related.  After you have entered an invoice, you can now post a second invoice.  Feel free to post an invoice in DEV to the Vendor ID number:  31.  Choose today's date as the Invoice Date.  Enter a Vendor Invoice in the Reference Field. Enter $1000 as the Amount.  Enter a Text that you want to show on the remittance advice to the vendor.  Choose your own GL Account and Cost Center.  Enter 21010000 as the Fund.  Make sure to also enter $1000 in the Amount in doc. curr. field.
        Please be aware that the FB60 screenshot above is using the ZPurdue Variant so unless you are also using that same variant the order of your columns may differ.
        Refer to FB60 documentation for more information regarding entering a non-PO related invoice.
        After an invoice has been entered, you may proceed to step 1.  If you prefer not to enter an FB60 invoice then after you open FB60, immediately do step 1, but enter "1900001354" in the Document Number field.
    1.       Select Goto Post with reference           Shift+F9 to go to the FBR2 transaction.
    Post Document: Header Data
    The document number you just entered in FB60 should now display.  If you did not first enter your own FB60 invoice, please enter 1900001354 in the Document Number field.  Make sure Company Code is PUR and Fiscal Year is 2007.
        If you did enter your own FB60 invoice to reference to, please be aware that the data entry fields will have different content in the screen shots than what you are seeing on your screen.
    2.       Click  or the "Enter" key to proceed.
    Post Document: Header Data
    Because we want to avoid paying the same invoice twice, we must change the reference field to another Vendor Invoice text.
    3.       As required, complete/review the following fields:
    Field Name
    R/O/C
    Description
    Reference
    R
    Allows for further clarification of an entry by reference to other sources of information, either internal or external to SAP.  Any SAP-posted document number can be used as a "reference" when entering a new document.
    Example:          VENDORINVOICE#2
        Your reference number should be different than the one above.  Otherwise, the system will think you are entering a duplicate invoice.  Please change your text slightly.
    Post Document: Header Data
    4.       Click  or the "Enter" key to proceed.
    Post Document Display Overview
    You are now viewing the document overview screen.
    5.       Double-click  to open that line item.
    Post Document Correct Vendor item
    When you open the Vendor line item, you may change the Text field here to change what appears on the remittance advice.
    6.       As required, complete/review the following fields:
    Field Name
    R/O/C
    Description
    Text
    O
    Description field for an entry.
    Example:          prints on remittance advice - for second invoice
    Post Document Correct Vendor item
    7.       Click  to return to the document overview screen.
    Post Document Display Overview
    The document overview screen.
    8.       Click  to post this second invoice which has the same fields as the original except a different vendor invoice number and a different remittance advice text.
    Information
    Pending upon your user settings, you may not get this pop up box, but just a message in the bottom left hand corner of the screen.
    9.       Click  to close the box.
    Enter Vendor Invoice: Company Code PUR
    Because you used the menu (Goto Post with reference) from FB60 to access the FBR2 transaction code, you are then returned to the FB60 transaction after you have posted the invoice.
    10.     Another way to access FBR2 is to just type the t-code in the field at the top of the screen.  As required, complete/review the following fields:
    Field Name
    R/O/C
    Description
    Transaction Code
    R
    A unique four-character (in most cases) identification assigned to each SAP transaction based on its purpose.
    Example:          /nfbr2
    11.     Click  or the "Enter" key to proceed.
    Post Document: Header Data
    The FBR2 transaction code opens with the last document number entered as the default.
    12.     Click  or the "Enter" key to proceed.
    Post Document: Header Data
    This time we will change the vendor number
    13.     Change the Reference field.  As required, complete/review the following fields:
    Field Name
    R/O/C
    Description
    Reference
    R
    Allows for further clarification of an entry by reference to other sources of information, either internal or external to SAP.  Any SAP-posted document number can be used as a "reference" when entering a new document.
    Example:          VENDORINVOICE
        Your reference number should be different than the one above.  Otherwise, the system will think you are entering a duplicate invoice.  Please change your text slightly.
    Post Document: Header Data
    14.     As required, complete/review the following fields:
    Field Name
    R/O/C
    Description
    Account
    R
    Unique identification number. SAP uses several kinds of accounts. SAP's general ledger accounts are similar to standard in most accounting systems. SAP also uses sub-ledger accounts for customers (accounts receivable), vendors (accounts payable), and assets (asset accounts). These sub-ledger accounts roll-up to a general ledger account.
    Example:          5000129
        Vendor 5000129 in DEV has withholding tax applied to it in the vendor master.
    Post Document: Header Data
    15.     Click  or the "Enter" key to proceed.
    Post Document Add Vendor item
    If the vendor invoice date was a date in the past, the due date for pay immediately will be in the past.  You may get the above informational message to alert you of the date.  If you do, just hit the "Enter" key to acknowledge it.
    Enter Withholding Tax Information
    Because this vendor has withholding tax information in its vendor master, you will receive this popup up box.
    16.     Click  to accept it.
        Refer to the Tax Department for more information regarding withholding tax.
    Post Document Display Overview
    You should now see the document overview screen.  If you do not, then click on .
    17.     Double-click  OR click  to open it.
    Post Document Correct Vendor item
    18.     As required, complete/review the following fields:
    Field Name
    R/O/C
    Description
    Text
    O
    Description field for an entry.
    Example:          change remittance advice text
    Post Document Correct Vendor item
    19.     Click  to view that Vendor's Withholding tax information again.
    Enter Withholding Tax Information
        If for some reason, for this invoice the vendor should not have any withholdings, you would enter a 0.00 in both the W/Tax Base and W/Tax Amt fields.
        When using the FBR2 to change withholding tax amounts, you need to be very careful if using this new invoice as the "reference" invoice for the next one.  For example, if you put 0.00 in both W/Tax Base and W/Tax Amt fields then if this is the reference invoice, those 0.00 amounts will automatically be applied to the next; however, you won't see the 0.00 displayed.  The 0.00 will be assumed.
    20.     Click  to close the box.
    Post Document Correct Vendor item
    21.     Click  to post the invoice.
    Post Document: Header Data
    Your new document number will display in the bottom left hand corner.  Pending upon your user settings, you may also get a pop up box to acknowledge.
    You have posted another invoice, but this time you changed the vendor ID used, the vendor invoice, and the text on the remittance advice.
        Notice that the "Document Number" field now defaults to the newly posted invoice number.
        Because you entered FBR2 in the transaction code field to access this screen, when you post an invoice you are returned to the beginning of the FBR2 screen.  Remember, when you accessed it from the menu line of FB60?  If you access it that way, you are then returned to FB60 after the Post with Reference document is posted.
    22.     Because you are returned to the start of FBR2 again, you may just click  or the "Enter" key to proceed.
    Post Document: Header Data
    Now you are at the start of entering a new invoice again.
    23.     Click  to return to the main menu without finishing the process of entering another invoice.
    24.     You have completed this transaction.
    Result
    You have posted two documents by using a reference document.  This reduced the data entry required since it defaults the fields from the reference document.
    Comments
    Be very careful using this transaction if you change withholding tax amounts.
    To see the results/calculations of discounts and withholdings, you must run F110, the Payment Program.
    http://www.purdue.edu/onepurduehelp/content/fi_ap_fbr2_post_with_reference/wi/html/index.htm
    Message was edited by:
            Karthikeyan Pandurangan
    Message was edited by:
            Karthikeyan Pandurangan

  • Vendor open items report without page break after changing vendor account

    Hi,
    I would like to get the vendor open items report without pagination when the vendor account changes.
    The option of deleting the * mark in the Filter page is not valid for me, because this way the vendor's name dissappear. I mean, it would be ok if I could show in the output of the report the name of the vendors.
    Thanks in advance.

    HI,
    If I understood your issue correctly then in the report S_ALR_87012085 is a field "Summarization level (0-4)" in the output controls.
    You just have to set this field to the value '2'.
    When you set the field to two, the page break will first executed, when the page is "full".
    If you want to see information about the "Summarization level (0-4)" field, you just have to set the cursor in it, and press F1.
    I believe this answer solve your problem.
    Please assign points if it useful.
    Regards
    Ravinagh Boni

  • How to clear a vendor account with documents in different currencies

    Hello all -
    I am aware that the purpose for using F-44 is to clear the vendor open items; however my vendor account is in rupees and the document I am trying to clear against the vendor is in USD.
    My debits and credits are slightly off due to FX. Is it possible to write this off to FX within F44 or is there another Tcode I can use to clear the vendor account?
    Can you please help?
    Thanks,
    Indira

    Hi Indira,
    When you clear vendor open items in another currency, exchange rate differences will / should post to a "Forex rate differences" account automatically, according to your configuration.
    Your vendor open item is now cleared. Now for the posted exchange rate differences. When you say "write off", I am guessing you don't want any postings to this "Forex rate differences" account.
    In this case, you can do a reclass from your "Forex rate differences" account to another expense account. Post the opposite DR/CR entry to your "Forex rate differences" account in a GL journal. This will make the net effect in the exchange rate difference account 0.
    Thanks and Regards,
    Chee Chung  

  • Vendor account Group

    Hello SAPians,
    I have a issue with regard to Vendor Account Group,can you please help me with some information
    Issue is:
    User want to change the Vendor account group of some vendor and there are few things need to be changed for TAX year 2012.
    what conditions need to be checked before changing the acc group.
    I checked the present acc group and new acc group,I found there is some diff with Number ranges and the fields in General Data,Company code data,purchasing data ,purchasing sub range & purchasing plant fields.
    And the partner determination procedure is defined for the old Account Group and it is not defined in New acc group.
    so for all these scenarios how I need to proceed further or suggest the user in order to change the account group.Please let me know the compatibility problems other than these.
    Thanks for your information
    Regards
    Varanasi

    Please read the below article,
    [Account group changes|http://wiki.sdn.sap.com/wiki/display/ERPLO/CHANGINGANACCOUNT+GROUP]

  • Vendor Account not getting automatically cleared using F.13 (OB74)

    Dear Sir / Mam,
    I want to clear vendor account open item based on assignment field.
    for this
    1. I configured OB74 as below
    YAIN     K     0     9999999999     ZUONR (where YAIN = COA)
    2. One of my vendor account # 300031 is appearing as below
    Assignment              DocumentNo      Type          Doc. Date          Amount in local cur.
    TestF.13                100000034            SA           17.02.2012                   275.00
    TestF.13                5100000266          RE            20.05.2010                   275.00-
    3. I executed T-Code F.13 and I selected CoCode, FY, Flagged Select Vendor Option & selected Vendor Account Number and executed in Production Run where in I am getting the following message.
    I  Program started by:           " CSPL
    I  Start date     " 17.02.2012  Start time     " 23:44:04
    S  No customer documents selected
    S  No G/L account documents selected
    I  Only accounts with debit and credit postings are included
    I  Stop date      " 17.02.2012  Stop time      " 23:44:05
    There after If i go and check the vendor account the open item are still open!
    I want to clear it through T-Code F.13 as I have mass documents be cleared like this.
    (Therefore I am not clearing it through F-44)
    Please guide me as where am I going wrong.
    Thanks In Anticipation
    Regards
    Chirag Shah

    Dear Jessica,
    In OB74,
    I have Put my chart of accounts - YAIN,
    Account type K,
    From / To accounts  as 0 to 99999999 (as they are numbered/charactered in the master record),
    criteria 1 is ZUONR.
    Account doesn't have Zero Balance but there are few line items with comman assignment text total of which is ZERO in Doc Currency (As I have shown in query)
    in F.13
    Clearing date is tried as 17-02-2012 as well as 18-02.2012
    Unticked Test run (= Production RUN)
    and executed.
    But still it shows the given below details, gives the same message and not clearing the line items.
        CoCd AccTy Account number   G/L           Open Items    Clrd Items
        1000 K     0000300031       0030021002            9             0       
    Thanks & Regards
    Chirag Shah

  • Clearing of open line items in Exchange Vendor account

    Hi Friends,
    We have an issue related with the clearing of open items from the exchange vendor account. Details of issue are as follows,
    We have two open line items in an exchange vendor account (T-code FBL1N) pertaining to the Logistics purchase invoice and a credit memo. These documents are very old documents posted in the year 2005. When user tries to clear or net these documents using T-code FB1K( using the current period), SAP generates the clearing document, i.e. it gives only a clearing document number and sends an email to user stating that update has been terminated. When we try to view the clearing document so generated using T-code FB03, system do not finds it, i.e. it is actually not in system / tables. Also most important thing these open items continues to appear in the vendor account, i.e. they are not getting cleared.
    Some of our observations about the related exchange Purchase Order is that, this PO has document date 03/31/2004 having qty. 5659 GA. The very first GR and related invoice is also having qty 5659 GA and posting date of 03/31/2004. After this user had again created above mentioned documents that are in question i.e. invoice and credit memo. These documents were posted on 04/12/2005 for the qty of 22592 GA (Even though the PO qty is 5659 GA).
    Now we would like to know what would be the probable reason for these open items not getting cleared from the vendor account. Please note user also tried to clear these documents using F-44 T-code but no luck.
    Thanks,
    Ritesh/Ninad

    Hi
    Have you tried by changing the Base line date while cleaing the vendor account. ?
    Satish

  • AP Report- Vendor account and PO by Expense account

    SAP Guru-
    I am trying to produce a report that provides by expense account the vendor account and PO by period.  I tried amond others the following account :S_P99_41000099 or S_ALR_87012085 and they are not what I need.
    Does anyone have any inputs on how I can pull this information.
    Points Awarded

    Please refer to note 826357
    When implementing the new G/L accounting in Release SAP ERP, we recommend that all new customers map the Profit Center within the new G/L accounting by activating the scenario FIN_PCA (profit center update). It is not advisable to activate the classic Profit Center Accounting in parallel and consequently update parallel data volumes.
    You might have defined the update of the characteristics "Profit Center" and "Partner Profit Center" in the ledger by selecting the scenario "Profit center update" (Customizing: "Financial Accounting (new) -> Financial Accounting Global Settings (new) -> Ledgers -> Ledger -> Assign Scenarios and Customer Fields to Ledgers").
    If the profit center scenario in the new G/L accounting is active, classic Profit Center Accounting is not active

  • Customer and Vendor Account statments

    Hi ,
    can we get any standard report for customer/vendor accounts statements on monthly basis to be sent to customer/vendors?
    My client is asking in the report ,they should have invoice number, description of the transaction, debit, credit and balance,  in the below they should have due amount on due date basis like 30 days, 60 days due etc., in the statement.
    can any one suggest any report like above?

    hi
    thanks for giving replay,
    actually i prepared functional specificatiion for vendor but how to puckup the opening balance(frokm which table) i have no idea ple give me any idean
                          tables  fields are
    for purchase BSIK,   BELNR     
    for payment  BSAK, BUDAT
                                      BLART
                                     SGTXT
                                      DMBTR
    how to puckup the opening balance, is there any table ple give me an idea

  • Problem while posting to accounts on vendor account

    Hi experts,
    We have a wagetype "Advance deduction"
    For the particuar employee we created a vendor account.
    We ran the payroll successfully and  we tried to post it to accounts.
    Im getting the errors 
    ""No creditor with serach key  Companycode  LFB1 PERNR
    Has bben found""
    No vendor found for this selection
    Required field GLACCOUNT was not transferred in parameter ACCOUNTGL"""_
    Eventhough we maintained the Vendor account for the particular employee.
    Did i miss any config.
    Please advice me to resolve the problem.
    Regards,
    V Sai.

    HI Experts,
    Im facing the problem in creation of a Vendor account for a newly created company code.
    Through PRAA we have created the new vendor account for an employee who has advance deductions.
    The system is showing  the screen Create vendor master records according to HR master records.
    Through XK03 i can able to see the created vendor.
    Later i performed live run and posting to accounts.
    there im getting the incorrect documents for the particular wagetype.
    Where we have to enter a valid value in field GL_Account in parameter accountGL.
    Please addvice me to solve the prob;lem.
    Regards,
    Vi sai.

  • Vendor account in GL account display

    Dear All,
    I need vendor account to be displayed in GL account. When i see GL balance i want to bring vendor code in GL account display.
    regards
    K S Rangarajan

    Hi,
    In screen Layout select the Off settinhg account num.
    Hope this helps you
    Regards
    Veena kunthe

  • Payment terms applicability for Debits in Vendor account

    Hi all,
    Whenever we credit a vendor account with defined payment terms, the net due date for that transaction will be calculated as per payment terms. I just wanted to check if the same logic applies even when we debit vendor account with defined payment terms.
    When I tested this in our systems i.e by debiting vendor account with defined payment terms, found that baseline date was only getting picked as net due date & not the actual date as per payment terms. I wanted to confirm if this is a SAP standard feature or a customised feature.
    Regards,
    Santosh

    Hi,
        I do not have documentation other than the F1 Help for the Field Inv.Ref
    This explains it though.
    Number of the Invoice the Transaction Belongs to
    For line items which are related to another line item, this field contains the number of the partner document.
    Use
    In the standard system the field is used for:
    Credit memos which refer to a particular invoice item
    Subsequent invoices for an invoice item
    Partial payments for an invoice item
    Partial clearings of down payments.
    In the first two cases mentioned, the terms of payment are copied from the cross-referenced invoice item into the item currently being processed. This ensures that items due on the same date are paid together by automatic payment.
    A special rule applies to credit memos which have a "V" in this field. The due date is determined in the same way as for an invoice. If the field is empty (containing neither a document number nor a "V") the due date is the baseline date for payment.
    Kind regards

  • Find Free Number Ranges of Customer and Vendor Accounts

    Hi,
    We have a requirement where we want to report to customer the free numbers present in customer and Vendor Accounts Groups.
    To solve this, I went through XKN1 and XDN1, where I go the current number for each Vendor and Customer Account Group.
    But the customer is having a strange requirement. They want to know, the free numbers available in these customer range.
    Please see the attached doc for the requirement and the solution which has been given.
    Please let me know, how to find the free numbers available in SAP system.
    Regards,
    Devdatth

    Hello Devdath,
    You can go to table KNA1. In the selection criteria, give the number range for each Account group and click on Number of entries.
    This will give you the number of customers created for that account group. SUbtract this number from the total number to get the Balance.
    Note: This is for the number ranges which are externally defined.
    For internally defined number ranges, you can simply go to XDN1 and get the balance.
    Similarly for Vendors, use table LFA1
    I hope this is what you needed.
    BR
    Amitash

Maybe you are looking for

  • How can I install the driver to use the bluetooth feature on my ipod touch

    I am trying to pair my iTouchbluetooth with my Dell My Dell says "Bluetooth peripheral device doesn't have a driver" and "problem with pnp devices". Can someone help me?

  • Will not print black. ink cartridge is new. also shows low black level with new cartridge.

    HP Photosmart C6180  all-in-one.  Will not print Black.  Also shows low black ink on ink level.  Cartridge is new and HP brand. In printing colors, very light and has RED hue as there is no black.  Also two other cartridges show low ink when all the

  • Use XE and HTML DB as a public web service?

    Is this advisable? (max 50 concurrent users) How do i tell XE/html db to respond with the right application when the user asks for www.xxxxxx.com By default you get the page: Index of / Name i/ Mon, 14 Nov 2005 12:21:21 GMT public/ Mon, 10 Oct 2005 2

  • When syncing, stops working?

    I just added a certain file to a library, and I even tried to delete it. It just says it stops working once it starts to sync. There's no more information I think I need to give, because it gives me no information like a certain error. Thank you for

  • Homepage does not appear, instead there is robbish

    My homepage is google.fi. When I open a new page, there appears This robbish: mixidj.delta-search.com/?babsrc=NT_ss&mntrId=1A76C89CDCECA213&affID=121124&tsp=4925. How to remove it ? I have newer ordered pages like this.