Vendor account not picked in F110 payment run

Hi Sap Experts,
i have assigned two payment methods to vendor master X,Y,which i do payment run for X for currency USD all the documents are picked for payment and when i run another payment run same time for Y  for currency INR its not picking up in payment run even all the open item s are due,
could help me to solve the issue
Laxmi

Hi,
Delete the current proposal of the payment run. Enter parameters once again. In Free selection tab restrict the currency to INR field. Run the proposal once again. If it still does pick up line items, check the following things
1. Parameters of the first payment run. Did you restrict the payment run only for the first payment method
2. Also see the dates entered in parameter tab of both runs
Regards,
radha

Similar Messages

  • Bal adj account is picked up in payment run for a vendor

    When we do payment program, one additional line item is created for payments in foreign currency other than exchange difference account. The additional line item is created for balance sheet adjustment account which is assigned in foreign currency revaluation settings. I and not able to figure out how this line item is created for payment transactions.
                                      Loc Cur         Doc Cur
    Vendor A/c.                        2000            1000
    Bank                               2500-           1000-
    AP - Adj (3rd Party)                400
    Ex. Loss - Realised                 100
    This is created with revaluation the due item i.e. original invoice amount with current rate i.e. rate on payment date and posted to AP-Adj (3rd Party) A/c.
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    adjustment
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    the clearing time.
    but in the above case while making payment ,the balancesheet adjustment account has got picked up during the automatic payment program...
    any idea on above entry why the balancesheet adj account has picked up...

    Resolved

  • Document not picked in f110 payment

    Invoice doc: 5000000001
    Due on: 12/30/2008
    Baseline date: 11/10/2008
    Payment terms: 50 days net due
    Vendor master details:
    Vendor: 241344
    Payment method: E
    Payment proposal Details:
    Payment run on 12/29/2008 through F110 t-code
    Parameters:
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    Vendor:1 to 99999999
    Result : above invoice doc not picked
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    Parameters:
    MTR2
    Payment method: C
    Vendor: 1 to 99999999
    Result: above invoice picked in proposal but not cleared giving error u201CPmnt methods for this run are not specified in master record or in itemu201D.
    Again same executed on 30th but not picked but finally picked on 01/02/2009
    My question is why document is not picked in MTR1 which has correct values.

    Hi
    Check the base line date for this IV - I dont think the document is overdue in MRT1 that is the reason it is not picked up (in frist payment run). It is overdue in the payment run (in January you run).
    Check the invoice date for document getting picked up ( i hope it is with in the date), check the base line date for payment for payment proposal (I hope on 30th it is not overdue).
    Thanks

  • F110 payment run - split vendor invoice

    Dear,
    For some vendors, the payment of the invoices should be split over 2 bank accounts.
    Currently they clear the invoice via transaction FB05 and split the amount over 2 bankaccounts for this vendor. Then we do the payment run.
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    Now we are looking for a process to avoid the clearing but split the amount during the payment run over 2 bankaccounts.
    Are there some userexits where we can manipulate the REGUH/REGUP tables to do the manipulations by ourselves or is there a standard SAP approach to accomplish this ?
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    Hi Andy,
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  • F110 payment run - Plant wise

    Dear All,
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    Also can you let us know, how can we make payment to selected Vendors in F110 ( additional field tab).
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    Regards

    When you are posting an invoice, some field in the invoice document must have plant information. Based on that you can substitute the House Bank. Lets say for example, You enter the value "Plant1" in the Assignment field of the vendor invoice. and you want to pay Plant1 invoices through house Bank HBK01. Then your should create a substitution rule saying if the value in say assignment field is "Plant1" then substitute House Bank field in the vendor line with value HBK01. If you are using a dedicated vendor number ranges specific to plant, then you can do the house bank substitution based on vendor ID as well, and then you don't have to enter Plant info in the invoice.
    Then all the invoices will have right house bank data. Now to make sure that you are paying to vendor posting specific to a plant in the payment run. You can go to FREE SELECTION tab of payment run(F110) when you enter parameters, and in the drop down under field name double click others option and select the document and enter. and then select and enter the field that you are using to enter plant information. In my example I have used Assignment field to enter plant information. So, I will select BSEG-ZUONR. Then I will go to Values field and enter "Plant1". Then Payment run will pick up only "Plant1" invoices.
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    Thanks
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  • Due date for BoEx is not picked up by payment programme RFFOF_V??

    Hi!
    I would be most grateful for your help/advise on my problem;
    I have a French customer for which I have set up BoEx with payment method 4 -LCR non accepté with payment programme RFFOF_V, as it is compliant with the bank's file specification "AFB-CONFB pour le virement et prelevement par fichiers".
    File is generated according to bank file specification (and accepted by bank), but I am having problems with the due date of BoEx since it is not picked up by payment programme when running trx F110. Instead issue date is picked up by file.
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    It should be possible to run F110 and group items so that file picks up information on due date instead of issue date so that bank does not withdraw money from customer bank account before BoEx due date..or??
    At least it was possible for payment method 2 LCR magnétique and payment method 4 does not seem that different.
    Ex.
    Trx: F110
    Posting date: 2014.04.08
    Docs entered up to: 2014.04.08
    Customer items due by: 2014.04.30
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    Next pmt: 20140501
    B.ex/pmt request > Issue date=2014.04.08
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    B.ex/pmt request>Incoming pmt due by=2014.04.30
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    One bill of exch. per due date period: X
    Latest due date in: 90 days
    Bill on demand for due date up until:- (blank)
    Payment method 4: Create BoEX before due date.
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    Kind regards
    Linda

    Dear Ramana,
    I am really thank to you for your kind answer.
    With your guidence, i could able to solve this problem, but i would ask you one question.
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    Once again i am really thank you for your great help.
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  • Duplicate payments in Payment list of F110 payment run

    Hello all,
    We had run APP trhu F110 payment run was as expected with amount 100000 EUR but when we checked payment list (EDIT- Payment - Payment list) there are duplicate entries and total is showing as 200000 EUR.
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    Thanks & regards

    Dear Rajan,
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    created but the open item is not cleared as the payment document is
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    (if a repeat update is not possible) to avoid double payments.
    dear Prashant,
    It is normal that if the automatic payment does not pay all the items, You can find them hanging into sm13.
    However, in general, when this happens you could try to use the edit >
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    available.  If there is an entry in SM13, as in Your case, you should process it.
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    When the payment program is terminated, it may be the case that not all
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    created for the purpose of fast forwarding to the bank when for example
    the payment documents update is delayed.
    For this problem please refer to the Note 545340 point [4]
    that answers to it.
    Furthermore please be aware that:
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    program and no need to take any corrective action and should not be a
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    So You can pay the invoices manually or by the next automatic payment
    run without any problem.
    I hope now the System behaviour is more clear.
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  • Account 5000056 is blocked by payment run 19.02.2011 QW

    Hi experts,
    While running F110 in APP, I am not able to schedule the proposal successfully. I have gone thru all posts in SDN for it, even deleted the sceduled proposals, even tried with different vendors and invoices but not able to solve it. Trying to clear it or reverse it, I am getting the following error:
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    In this,5000056 is the vendor code and QW is the identifecation for the first time which I have already deleted. But system is persisting with the same error. I have tried to run it 10 times atleast and checked my configurations again and again but there is no such issue.
    please guide with a proper solution in this matter.
    Regards,
    SAP FI

    Hello,
    I believe otherthan SAP A.G, nobody in the world can solve your queries or requirements.
    How you can expect someone to give solutions without seeing the system for unexpected / unintended errors.
    Being a consutlant, we should be aware of what we have done and what we are doing, rather than just thinking like a user and posting questions and prolonging with all single line replies. Since many SDNers (i am also one of them) wont look into the issue if it has this many pages and replies. Here all are spending little time to help others voluntarley out of their busy working hours.
    Indeed you may not get good answers once the replies looks like a chatting history on gtalk.
    So try to give maximum inputs in a single reply.
    Anyway if your issue is not desired, you have alll the right to write the same on SAP market place.
    One example of your query Posting of a parked document
    Hope you got my point.
    Regards,
    Srinu

  • Proactively preventing F110 errors - Accounts are blocked while F110 is running

    I was wondering what other companies are doing to mitigate F110 Payment Run errors in advance.
    We perform some pre-processing to validate proposals.. but an issue we sometimes run into is that a Customer or Vendor Account is locked (typically because someone is in CHANGE mode XD02 / XK02). 
    Other than locking those transactions while F110 is running, are there other options? also, if someone is in change mode and then goes to lunch, this lock won't help .
    When that happens, every single invoice is excluded for that customer/company code combination.
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    Thanks,
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    Hi,
    If not a bad idea, you can think of creating a wrapper program which runs F110 in background.
    This program should take payment run date and ID as input and start the payment run.
    Program will check the locks of all the vendors and customers involved in the payment run. If all the locks are free, then it can start F110 background job. If there is a lock, it can keep running till the lock is released and start F110 as soon as lock is released.
    Note: Even this approach might have limitations.
    Say you check lock for vendor 1-no lock
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    Will keep you posted if some crazy idea strikes my mind
    Thanks,
    V V

  • F110  Payment Run

    I am having a problem with F110 Payment run. It's showing the error as: 'Item cannot be paid due to inconsistent withholding tax'. I have done the payment run for the same vendor, same company code and it worked well. Later, I deleted one of the WH Tax type in Vendor Master. Has anyone come across this or similar issue?. What can I do to solve this?.

    hi,
      I am not able to see the Deleted WH Tax info. when I run the RFWT0010. I tried to do the payment run after executing RFWT0010, but am not able to resolve the problem. I have run the S_P00_07000134(the 1099 report) a few days back(before posting the new Invoices). Do you think this has anything to do with the existing problem. And I have checked the config. again for the tax type, Tax codes and their assignments to Co.Cd. which everything seems to be correct. I tried to pay using f-53 which is showing the same error.
    As Hein said i tried to look in the Invoice doc. for the WHTax info.(I have the setting to do calculate the WHTax amount @ the Payment level). So, its not possible to delete the Tax code and make the settings in VM.
    As per suresh, I have checked the validity of the tax code its(1/1/2000-12/31/9999). And the tax type, tax code are assigned in the VMR.
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  • F110 Payment Run Idoc

    I have the partner profile setup for F110 Payment run.
    I have added the message types : REMADV for the basic type PEXR2002.
    I also have added : PAYEXT for PEXR2002.
    The Payment run generates the Idoc successfully. PAYEXE IDoc is generated.
    I want to actually generate REMADV Idoc as per my functional requirement.
    Question:
    1. Whats the difference if Both are pointing to same Basic Type - PEXR2002 ?
    2. What should I do to generate REMADV and Not PAYEXT?
    3. Any configuration that decides the idoc type?
    FYI - The payment method configured for all this is "E" - BACS Payment.
    Any help would be appretiated.
    Pranali

    Hi ,
    check this blog  http://www.sdn.sap.com/irj/scn/go/portal/prtroot/docs/library/uuid/a00afa41-4254-2d10-74a5-bd560edf74da?quicklink=index&overridelayout=true
    IDOC Configuration steps for EDI
    IDOC Information
    IDOC type: PEXR2002
    Message type: REMADV
    Function Module: IDOC_INPUT_REMADV_CTR
    Process code: REMC
    Process
    When an inbound Payment advice is received, it will create a payment and clearing AR document with the document type set up in the config below.
    Config
     Define posting rule in SPRO->FI->Bank accounting ->Business Transactions ->Payment transactions ->manual bank statement->define posting keys and posting rules
     Assign company code to EDI payments in SPRO->FI->AR and AP ->Bus Transactons->Incoming Payments->Electronic->Payment Advice Notes->Assign company codes for EDI payment advice notes.
     Define Payment advice type 06 in SPRO->FI->AR and AP ->Bus Transactons->Incoming Payments->Electronic->Payment Advice Notes->Define Further processing with account type D.
    Prabhudas

  • F110 payment run - split on invoice line item that exceed certain amount

    Dear expert,
    Now i want to ask is there any ways to configure F110 - payment run to auto checking on whenever the amount of one fi document is more than USD100,000 will auto split to second payment item.
    *i have already tick individual pmnt on tcode FK02 - change vendor master data (at automatic payment transactions column). This method will split all fi document under same vendor post with different posting document number.
    I would like to ask is there any way to configure auto split on the fi document (if the document is exceed some amount) for payment run.
    thanks and appreciate

    i have put distribution amount.
    Let say i put distribution amount USD100, after i run payment run, one account payable document will generate one payment document.
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    Coz my enquiry is if the payment is excedd USD100 we need to assign to another tt payment as the TT is only accept maximum USD100 transfer.
    Expert, please advice on ur view.
    Thanks and appreciate much on ur previous help.
    regards,
    Ng Chong Chuan

  • Email notification for payments made through F110 payment run

    Hi Gurus,
    I have configured all the settings for the email notification through F110 payment run. I got the email also by using the email field in the address tab.
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    Regards
    Krish

    Hi Krish,
    Please go through posted discussion tread for your needful:
    Re: F110 - Automatic email to vendor when payment run is carried out
    Regards,
    Santoshy

  • Customer document number not picked while making payment

    Hi  guys
    we have one vendor the same vendor as customer also. while we making payment to vendor customer document document number not picked,, the erro message comes.. " NO APPROPRIATE LINE ITEM IS CONTAINED IN THE DOCUMENT"
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    1) In Vendor master data, Customer code has been given
    2) In  Documnet type KZ, we select vendor also.
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    Regards
    K.Gururajan

    Hi,
    Check the following:
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    2. Ensure the vendor is not locked up in any payment proposal in F110.
    Thanks
    Aravind

  • Account 100240 is blocked by payment run 01.11.2008 (F-53)

    Dear Experts,
    I got the problems when I am doing TCODE F-53 Post outgoing payment,
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    wilson

    Hi Wilson,
    This error is because the same vendor has been processed under F110 earlier and the propsal has been created and further no steps has been carried out (payment run).
    If a vendor has line item appearing in the proposal, then it would be blocked for subsequent payments.
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    Regards,
    Kiran

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