Vendor account statement

I modified vendor account statement for fi module from standard form.
when i am executing in FBL1N Transaction i am giving vendor account number and executing . Next i am going to environment and selecting correspondence there i am selecting request it is asking dates so i am giving dates after again i am going to environment and correspondence there i am selection display so it  is displaying data for single vendor.
now i dont want to give vendor account numbers in my selection screen it should display all the vendors one by one in my output
as per date in given in the ENVIRONMENT -> Correspondence - > Request.
At present it is displaying single vendor when i am giving nothing on the selection screen how can i display for all vendors .
pls help me.

try report RFKORK00
greetings
Andreas

Similar Messages

  • Vendor Account Statement Balances Formats problem

    Dear Experts,
    I have a Vendor account statement and by logic the Total at the end should be the same for whatever period i request the statement in (using fbl1n). Currently i have a vendor which has differenet balances if i request the statement from 1.1.2009 to date than from 1.1.2011 to date.
    While checking where the different is, i found out that the amounts Formats is wrong because it's being diplayed 50.000,00 rather than 50,000.00 in the debit and credit but in the Balance column the format is right so the system is conflicting between thousands and hundreds where an amount like 100,39 is there.
    Say for example i have a credit of 60.373,343 the balance displayed next to it is 60.373 and the system is omitting the rest considering that they are not there so when you come to a credit amount of 100,39 the balance is now 10099.373 rather than 60.473.
    So my question is, is there any way that i can make a change for the amount format in the statement or it needs an abaping work?
    please help

    Hi,
    IN SAP Easy Assess menu go to System - User Profile  - Own Data  - in second TAB (Defaults )
    here you can change t he Format of Number.
    If you dont have authorization then ask BASIS consultant to do so.
    Regards,
    Shayam

  • Continue printout for vendor account statement

    i am using FBL1N Transaction for vendor account statement..
    present i am able to take printout for single vendor in FBL1N transaction when i am giving single vendor account statement in the selection screen.
    my requirement is take the printout for all vendors at a time in FBL1N Transaction.
    can any one guide i will reward points.

    The only option to display all the vendors is by keeping the vendor number blank in FBL1N selection screen, only drawback is it will take very long time to display all the vendors.
    OR
    It can be done by giving a range of vendors in selection screen
    Regards,
    SaiRam

  • Transaction code for vendor account statement for perticular duration

    Transaction code for Accounts payable
    statement for perticular date
    duration...... (from date and to date)

    Hi,
    You can use the following reports, there are quite a few other reports but the ones below can be used easily to tweak to your requirement using the many selection and display options available:
    1. S_ALR_87012103 - List of Vendor Line Items
    2.  FBL1N
    Cheers.

  • Customer and Vendor Account statments

    Hi ,
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    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
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  • Process in FIBF for account statement...

    In FIBF ,click on settings-process module of sap application..we could see many process .I need one process which could be used for account statement.That is customer or vendor account statement.
    Thanks and Regards

    perhaps try 2810 or 2820?
    A.

  • VENDOR/GL/CUSTOMER  ACCOUNT STATEMENT WITH OPENING BALANCE

    Can anybody  tell me the tcodes in SAP for Vendor/Gl/Customer Account Statement with opening balance.
    Best Regards,
    Sudhanshu Dang
    0124-3081015

    hii
    As per my knowledge no such reports  for GL are there in sap.. we also had a same requirement but could not find it... we wanted reports with opening and closing balalnces...
    u can go to SAP1 and check all the standard reports available. check wheather any report fulfills ur need or else go for abap reports...
    Check f.42 T code for Vendor Report. and s_alr_87012172..for customer.
    thanks
    sejal

  • Reg balance Carried forward in F.27 Accounting Statement Print

    Hi experts,
    We have generated a SAP Script for Accounting Statement print ( F.27 ) for vendors. We have used structure RF140 for
    the necessary fields. For balance carried forward, SALDO in RF140 structure( balance in document currency ) gives
    me the correct value. But i'm unable to trace whether the balance carried forward is debit or credit. How to check whether
    this balance is debit or credit.
    Thanks in Advance.
    Regards,
    Farhanaz.

    hi ,
    check tcode FK10 might help you.
    regards
    Prabhu

  • Difference in Customer account statement and collections

    Kindly clarify my doubts about customer account steatement and Collections. basically whats the difference in the two and what are the standard T_codes for these two.
    thanks
    anya

    HI ANYA
    T-code:  F.27
    Definition
    An account statement and open item list are two types of correspondence. They differ with respect to the information they contain and the way it is displayed. Unlike an open item list, an account statement displays all items in a specified period along with the balance carried forward. The open item list merely displays the open items for a certain key date.
    Type of correspondence that your company sends to its customers.
    The system includes a SAPscript form that you can use for customer account statements for the Philippines, form F140_CUS_STAT_P1. You can modify this template to meet your company's requirements. To do so, from the SAP Easy Access screen, choose Tools ® Form printout ® SAPscript ® Form.
    Structure
    The following information is displayed in the template for the customer account statement:
    Account balance at the start of the selected period
    Open item list as of the key date, including the total
    It is sorted by transactions with or without special G/L indicators, currency, posting date, and document number.
    Account balance at the end of the selected period
    Cleared item list between selected key dates
    It is sorted by currency, posting date, and cleared item document number.
    Withholding tax list between selected key dates
    It is sorted by withholding tax type, posting date, and document number.
    Aging in 0, 30, 60, 90, and 120 days
    Integration
    You can print the customer account statement.
    Note the following restrictions regarding customer statements:
    You cannot create statements for one-time customers.
    In the case of customer head offices with local branches, customer statements contain the address of the head office and not that of the branch.
    The account statement can be created for your customers or vendors is an extract from the customer account which enables him to check the items there or is merely for information purposes. The account statement displays the balance carried forward, all items in the chosen period and the closing balance of the account.
    The open items list is a special form of account statement. It is also sent to the customer for verification or information purposes. Occasionally, the list is also used as a reminder letter. The open items up to the chosen key date are displayed in this list.
    Both letters contain the document number or reference document number, the document date, the document type, the currency and the amount for every item as well as the balance of the open items at the key date. The account statement may also contain the clearing document number. If branches were included in the letter of a head office, their addresses are listed at the end of the letter.
    The layout of the letter is determined via a form. Depending on the form used, the letter may also contain, for example, the days in arrears per item at the key date or other information. The form must be defined and stored in the system.
    Printing Customer Account Statements
    Use
    Printing of customer account statements is based on correspondence type SAPP3. Correspondence type SAPP3 is preconfigured to run the RFKORDP3 print program, which is delivered with report variant SAP&SAPP3. You can modify SAP&SAPP3 to meet your company's needs. For example, you can change the aging period and the number of the aging column.
    To modify or define a new report variant for the RFKORDP3 print program, in Customizing for Financial Accounting, choose Financial Accounting Global Settings -- Correspondence -- Assign Programs for Correspondence Types. Select correspondence type SAPP3 and choose Environment -- Maintain variants.
    Procedure
    Printing Individual Account Statements:
    Request correspondence type SAPP3 . To do so, from the SAP Easy Access screen, choose Accounting -- Financial Accounting --Accounts Receivable --Account -- Correspondence --Request.
    Issue the correspondence request by choosing Accounting -- Financial Accounting -- Accounts Receivable -- Periodic processing -- Print correspondence -- As per request.
    Print the customer account statement from the spool file by choosing System -- Own spool requests. Select your spool request and choose print.
    COLLECTIONS
    Collection is the settlement of receivables due, in particular, bills of exchange.
    Collection Account
    Definition
    A G/L account that the system uses to record checks receivable that you have presented to banks for collection. It denotes that a check has been sent to a bank and is awaiting clearing
    Reward if useful to u
    narendran vajravelu

  • Loans: Introduce vendor account during loan payments

    Hello folks,
    I have Loans managment module working fine for a bunch of flows.  I would like to substitute a g/l account that we use during payment with a vendor account.  Wondering if I could get some inputs on this.
    We have receivable loans, not giving.
    In the Accout Determination, I've configured a flow Z120 with Payment transaction 1 and a posting key 40 to the balance sheet account(276510) and 50 to a bridge account(275325).  When this flow is posted, a payment request is created between the bridge account and the house bank's payment sub-account(175562).  That would be a debit on bridge account(275325) and a credit on bank's payment sub-account(175562).  So I run F111 and execute the payment.  And then when the back statement comes in, an entry between 175562 and 175560 is made.
    Now, I would like to replace this bridge account with a vendor.  The primary reason is, the client wants to calculate withholding tax on every payment, interest and capital.  Wondering what my options are?
    In Account Determination, in the accounts section, in the g/l acct field, I don't know how to specify a vendor account against a acct symbol for the account determination to happen.  There is only option for g/l account or +++++ for bank g/l accounts.
    Should this be configured some place else.  Not sure where I'm missing the part where I could use a vendor instead of using a g/l account as a bridge.
    Also in SPRO, in the "Company code settings for product types", the FI posting field for my product is of type 4, which is "Actual records in subledger, posting in FI without customer".  Should this be changed to 3, which is "Actual records in subledger, FI posting with customer" - wondering if this would open up a relation with a customer/vendor.
    Any help greatly appreciated.
    Thanks.

    Thanks Kumar.  Most of the steps got executed successfully.
    Step 1:The moment I changed the FI posting from 4 to 3, I received an error in disbursement saying couldn't determine customer.  I did not have a customer role in my BP.  I set that with recon account and was able to do disbursement.  The disbursement screen looks different too, with an added customer field populated and read-only.  I think we are good there.
    Step 2: I've ignored third party payment, I did revert it to uncheck the way it was.
    Step 3: In Account determination, I configured one more posting specification for my Flowtype(Transaction type), payment transaction 'X', posting category 42. posting key 40(debit) for my interest account and 14(credit) for the new 2.4.4 symbol.  I gave the BP/client's recon account g/l account against this new account symbol 2.4.4.
    Now when I tried to do a post planned record, it wouldn't pick the newly created posting specification X.  It still picks the one with payment transaction 1.
    The documentation says, X would be picked if (a) posting for product type made via customer account and (b) payment transaction indicator set for the flow/condtion.
    Here bullet (a) is true, because I could see the customer number when I do the disbursement.  Now with regards to bullet (b), I've set done the following:-
    -In flow type, I have the field "Payment request" checked.
    -In condition type, I have the field Payt(Payment transaction) checked for my all my conditions.
    -In the "Company code dependent settings for product type", I've checked the "Payment details" field.
    -In the Main Loan Partner role for the BP, in the company code data, in the payment details tab, I've checked the Payment transaction and payment request fields, and entered information for payment method, housebank payer/ee etc.
    Since the posting specification with payment transaction 'X' is not picked, I think something is missing on the payment transaction part.
    One other interesting observation is, the moment I changed the FI posting from 4 to 3, the button "payment details" on the top of the screen has disappeared.  Previously I used to specify payment details for each flow using the screen that comes off that button.  So I assume now the payment details need to be taken care of in the BP/client level or flows level.
    I'm not sure where I'm missing one fine detail.
    Thanks a lot for your help in advance.  I really appreciate it.

  • Sender email address for Customer Account Statement

    Dear Experts,
    Here's an issue that my colleague and I are currently facing:-
    The Customer Account Statements that are sent via email in the transaction F.27 show that the sender email address is not equals the Accounting Clerk (KNB1-BUSAB) maintained in customer master data (FD03). Instead, the sender email address here is the email address of the person executing the transaction F.27.
    I've looked through some programs (RFKORK00 and RFKORD10), and the variant used (SAPMA). Unfortunately, we still could not determine the root cause for this issue. What should we be looking into, and how can we resolve this issue too?
    Any inputs would be much appreciated. Thanks.
    Regards,
    Deborah

    Hi Ajay,
    Thanks for your input. Really appreciate it. Would you please enlighten me further?
    "The accounting clerk’s name is then printed in any correspondence with the customers or vendors."
    The statement above leads me to think that consequently, the accounting clerk's email address should be the sender email address for the mail that is sent to the customer.
    Also, when I hit the 'F1' key on the Accounting Clerk (in transactions F.27 or FD03), the following texts are shown:-
    "Accounting clerk
    Identification code for the accounting clerk.
    The name of the accounting clerk defined by this identification code can be used in the payment program for correspondence and reporting (for example, open item lists)."
    Again, this leads me to think that the sender email address should be the accounting clerk's email.
    P/S:
    The customer is saying that this should not happen, so my colleague and I are just investigating this issue further.
    Regards,
    Deborah

  • 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-
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    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
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    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

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