Vendor and GL clearing

Is there any transaction code similar to FB15 (Clearing customer balances in horizontal view) for clearing GL and vendor balances?
Thanks
Sridevi

Hi Sridevi,
You can use the following T-Codes for Clearing:
FB05 : Post with clearing
F-03 : GL Clearing
F-44 : Vendor Clearing
F-32 : Customer Clearing
F.13 : Automatic Clearing
Regards,
Ankur

Similar Messages

  • Vendor and Customer Clearing

    Dear Guru,
    I want to that why we want to clear the vendors and customers open items before making payment through F-13 or F-44 or F-32
    I am quite confused. Kinldy clearify my doubts.
    Thanks in advance
    Moderator: Please, avoid asking basic questions

    Hi
    Using the account clearing function, you choose and match those open items from an account that balance out to zero. The system marks them as cleared by assigning them a clearing document number and the date on which they were cleared (clearing date). The clearing date can be the current date or a date that you enter yourself. The clearing document number is the number of the most recent document involved in the clearing procedure.
    Since postings do not have to be made during account clearing, documents are usually not created. However, the system might have to make clearing entries if line items from different business areas are part of the clearing procedure as shown in the illustration below. In this case, a document is created, and the number of the clearing document is set in every item cleared.
    Conditions for Clearing
    Generally speaking, you will use the account clearing function for bank sub-accounts and clearing accounts. You would use the check number to select, for example, an item in the Checks Receivable account to clear it against the cashed check.
    Automatic ClearingInstead of clearing items manually, you can also use a program to clear them automatically (provided no new items have to be created to clear the open items).
    For more informations please follow the attached link.
    Hope it will help you
    http://help.sap.com/saphelp_45b/helpdata/en/01/a9b94b455711d182b40000e829fbfe/frameset.htm
    *In case of Vendor*__
    Type of Clearing                       TCode
    Down Payment Clearing             F-54
    Final Clearing                              F-44
    *In case of Customer*__
    Type of Clearing                       TCode_
    Down Payment Clearing             F-39
    Final Clearing                              F-32
    Regards
    Praveen P C
    Edited by: Praveen Chirakkel on Mar 17, 2011 5:29 AM

  • OBYA : vendor and customer clearing in cross company code transaction

    Hi Gurus,
    Please can any one telll me how to clear the transactions of cross company code which is in vendor and customer.
    I already done a configuration in OBYA for customer - vendor.
    Expected a process of clearing the cross company code transaction.
    Thanks in Advance
    Manish.

    Hi,
    If you are doing for vendor invoice,
    for example:
    co code 1000 and co.code2000
    Use F-02 and enter following transactions
    posting key 31 -vendor- company code 1000
    posting key 25- expenses and enter new company code 2000.
    After the entry it will display 4 line items, 2line item for 1000&2000
    Regards,
    Sreekanth

  • How can i clear the vendor and customer open line items at a time same vendor as a customer of the company (same vendor same customer and equal invoices )

    my vendor and customer are same . purchase invoice due100000 and sales invoice amount is also 100000 at a time with any manual action , have any setting for cleared both vendor and customer line items at a time ...........

    X Ltd. will be Vendor & Customer.
    Purchase Invoice is booked under Vendor SAP number & Sales Invoice is booked under Customer SAP number. Then you can transfer amount from Vendor to Customer or vice versa with T-code F-04.
    Then if you have transferred amount from customer to Vendor (F-04), Vendor account will have two entries Debit & Credit. Then go for clearance with T-code F-44 clear Vendor.

  • Payment Run - Clearing between Customer and Vendor and Partner Bank Account

    Is there a way to have the bank details for the payment to be pulled from the vendor master if an outgoing payment is created or from the customer master if an incoming payment is created? Our requirement is to consider both vendor and customer items during payment processing.  In doing so, if the net of the clearing between the customer and vendor account results in an incoming payment, we want to use the bank details specified from the customer and if the net results in an outgoing payment, we want the bank details on the vendor master to be used.
    As such we tick the box on Vendor master to clear with customer and tick the box on Customer master to clear with Vendor.  We have defined 2 payment methods and entered both payment methods on both the customer and Vendor.  We have also entered the different bank accounts on the payment transactions tab of the vendor and customer masters. 
    It seems regardless of resulting payment method chosen, the bank details are getting pulled from the vendor master.

    Hi,
    It is possible without any doing any kind of config or master data changes
    While doing F-53, after entering all the required data in open item selection screen, after getting vendor open line items, go to menu item edit->select more.
    There enter account type as D and company code (customer account no's comp code) and click on process open items
    So you can choose the line items from the other company code's customer also.
    Thanks,
    Srinu

  • Clearing Vendor and Customer through F.13

    Hi.
    I was wondering if you can configure the vendor and customer masters so that they can be cleared automatically through transaction F.13. Currently this process is done through either F-32 or F-44 but this takes a lot of time.
    I would like to know if you can choose a vendor on F.13, a corresponding supplier and then clear them. I have run some tests but they have not been successful
    Is there any way to achieve this?
    I would appreciate detailed steps if there is a way to do this.
    Thank you very much,
    Borja.

    Hi Sunny,
    Please see the following :
    1. Down Payment Received (2500 INR.) F-29
    2. Customer Invoice Posted (2500 INR.) FB70
    3. Clear Down Payment (2500 INR) F-39
    4. Now Run Automatic Clearing (F.13)
    And then check the Customer line item report in FBL5N. It will clear both line items.
    Hope this helps.
    Kind Regards,
    Prakash Kumar

  • Clear Vendor and Customer Accounts

    Hi,
    I want clear vendor and customer accounts those are in foreign currency or INR both. Please let me know which transaction code I use.
    Thanks & Regards,
    Hemant Maurya

    Hi
    there are two wyas for clear customer & vendor data
    1 Automatic clearing
    2.Mannual Clearing
    Vendor Mannual Clearing F-44
    Vendor Automatci clearing F.13
    Customer Manual Clearing F-32
    Customer Automatic Clearing F.13
    If any query, revert back
    Regards
    Roobal

  • If vendor and customer r same how we clear

    Hi
    if  for the claint
    both vendor and customer r same
    in such a case what configuration is need
    and if clearing is required between both
    what steps required
    i know 1 thing only eg in vendor master give customer number ,that thing only i knew ,
    plz explain and give steps

    Hi,
    If you are purchasing as well as selling to the same party i.e. customer and vendor are same, you can do following.
    1)  Create Customer Master Data for the Party.
    2)  Create Vendor Master Data for the same Party.
    3)  Go to tranaction for Change Customer, go to Control Tab and specify the Vendor No in Vendor field.
    4)  Go to Payment Transactions tab, select the indicator "Clearing with Vendor".
    5)  Repeat steps 3 and 4 for Vendor Master data change as well.  Specify Customer No in Customer field of Vendor Master and also select the indicatro "Clearing with Customer".
    This will help.  Pls. assign suitable points.
    Regards,
    Chirag

  • Vendor Down Payment Clearing: F-54 or F-44

    Hi
    I have made a down payment (with Spl. GL indicator) to a vendor, using F-48. Then I book an invoice using FB60. I kept the two amounts same and ignored WT to keep things simple.
    Now i want to clear the down payment against the invoice. I use F-54. The clearing transaction is getting posted. However, the Invoice is lying open (credit entry) along with the Clearing document (debit entry). On the other hand the down payment document (debit) is getting cleared with the Clearing document (credit entry). This means I have two open line items and two cleared line items. I can clear the two open items again using F-44.
    I have two questions:
    1. What is the use of F-54 here since I have to use F-44 eventually?
    2. While doing F-54, Posting Key for the debit line item is 26 : Payment Difference. This is could not understand.
    Can anyone please help me out on this?
    Thanks in advance
    Aninda

    Dear Aninda ,
    I will explain you with following example.
    Recon account(Vendor)---3000000
    Advance to Vendor----
    4005000
    Exp a/c----
    7575100
    Bank a/c----
    5000100
    1. Advance to Vendor (spl gl -A)(F-48)
    Vendor a/c    (SPL-A)( GL- 4005000)        DR   1000
                      T0  Bank a/c (GL-5000100)                  1000
    2. Invoice posting
    Expenditure a/c ( GL-7575100) Dr      1000
         To  Vendor Account(GL-3000000)     1000
    3. Clear Vendor Down Payment (F-54)     
    Vendor  a/c (GL-3000000) DR                1000 (Posting key-26)
         To Vendor a/c (SPL-A)( GL- 4005000)          1000
    It means  Credited spl GL-A has converted from advance to Normal open item. Amount has been transferred from Advance to Vendor GL to Normal Recon account.By this way Advance account shows Nil  Balance with debit(F-48) and Credit (F-54)
    The remaining 2 line items i.e., Credit (F-43) and Debit (F-54) shows as open items. In the next step we need to knock off those line items by manual clearing or automatic clearing.
    4. Normal Clearing (F-44)
    It will be posted without line items.
    I hope i am able to help you out to understand process

  • Printing confirmation of balance for vendors and customer-urgent

    Hi,
    Thanx Vamsi for the reply.
    I have got 1 more doubt.we are using CUSTOMISED correspondence types.The annexure we give has only the open items.But the users want a list of cleared items to appear in the list.
    Will the confirmation have only open items ???? or can it take even the cleared items along with it.Can the print program be modified to take even the cleared items along with it.
    Kindly advise.
    Thanks in advance
    Regards
    Karpagam

    Hi,
    We are using print program SAPF130K and SAPF130D for vendor and customer respectively.
    My query is can we bring even the cleared items alongwith the open items in the same print program???
    Now we have line items of open line items only?? As per our exploration into the program... we get only open items..
    Also we are using SAP10 and SAP11 as the correspondence type.Kindly advise as to correspondence type should be changed so that it can print both the open and cleared items?
    Please reply ASAP as it is very urgent.
    Thanks in advance.
    Regards
    Karpagam

  • Payment History for vendor and Customer in AP and AR

    Hi Guys.
    Has anyone done the upload of PAyment History from vendor/Customer in AP and AR modules in FI from legacy system.
    if ye s how can we do it ? It is F-06 and F-07 transactions.
    Please let me know if there is a BAPI?
    Thanks for the quick help..
    Vijay

    Thx for the quick answer Andreas. n further discussions we found that the actual requirement is to only have the payment history data for both the vendor and the customer only as a referece. I mean they dont want to have the actual accounts posted for historical data, since we have to anyway have a conversion for the GL accounts related data afterwards.
    I hope i cleared what we want here. Do we have any way we can update the data in this case. Is there anyway we can have data stored in LIS possibly for such cases..
    Any ideas

  • Rounding off differences for Vendor and Customer payment

    Dear All,
    Rounding off differences for vendor payment in T Code F-53 is giving the following error when I want to post.
    Item category 06000 not allowed in accounting transaction 1000/0001
    Message no. GLT2001
    Diagnosis
    The online document splitting is active in your system. Here, each document is assigned to a accounting transaction variant and each document row to an item category.
    You determine for each business transaction variant which item categories can or must be posted here.
    The following error occurred for the document you entered:
    Item category 06000 in accounting transaction 1000, variant 0001 is not allowed.
    System Response
    The document cannot be posted.
    Procedure
    Check the document entered, the derivation of the business transaction variant, the derivation of the item category, and the assignment of the item categories to the business transaction variant.
    Please advice
    Regards
    BIJUDAS

    Thx for the quick answer Andreas. n further discussions we found that the actual requirement is to only have the payment history data for both the vendor and the customer only as a referece. I mean they dont want to have the actual accounts posted for historical data, since we have to anyway have a conversion for the GL accounts related data afterwards.
    I hope i cleared what we want here. Do we have any way we can update the data in this case. Is there anyway we can have data stored in LIS possibly for such cases..
    Any ideas

  • Vendor and customer master

    Hi,
    I modified the vendor and customer master assigned in vendor master the number of the customer and viceversa
    so that it will be possible the clearing between the customer and vendor but I cannot find the fields "Clrg with vend." and "Clrg with cust."  in the related master data
    Regards

    Dear sappione,
    when ever you maintain Customer No. in vendor master & vendor No. in customer master. under Account control tab. pls press Enter. you will fing this fields under Payment data tab - You can find field  clrg with customer like as clrg with vendor in both masters - here you can select. then it will work.
    Note: Before you have select this check boxes in Document types(OBA7) here you can select KR , KZ, DR, DZ, under control data cust/vend check - pls select
    Regards
    shankar

  • Gl, vendor and customer balances in program

    I need to upload GL, Vendor and customer balances in single program(bapi or normal recording also.). If any body is having code for this and any thread is available please help me .. urgent...
    Thanks inadvance
    praveen

    The Ope item balances may be taken adn clean the data.
    For AP some clients curt the check and release it later .
    If that is the case no need to load AP items,Agian this is depend on the business arrangemnets.
    The data may be loaded FB60, FB70 transactions.The transaction may be recorder and use LSMW
    Create a GL account ( data conversion acccount)
    Customer:
    Dr Customer
    Cr Data convertion accounmt
    Vendor:
    Dr Convertion Account
    Cr Vendor
    The data collected in Xl may be converted as Tab delimited Txt file and may be used for LSMW.
    Hope this is clear. Allot the points if you get some resolution for yr doubt.
    Chitras

  • F-44 vendor open item clearing

    Hi ,
    1. in our org. the emplyees are paid perdiem advance for onsite travel and treated as Vendors and settled the travel advance account
    2. we are using f-44 to clear the vendor open items, it is not happening system error saying section code is mandatory in company code
    but while creating a document it doesn't ask for section code entry
    What is the solution to this?
    manoj

    Hi Manoj
    You need to use T.Code OB28 for creating a validation.  There you give your company code for which you want the validation for..
    Further, you need to specifity, whether you want to do the validation at line item level or header
    level. In your case its line item level and then double click on that lien item. Give the name for your validation and select step button. It will ask for the prerequisite,there you give all the t.codes such as F-44 etc.and then in the next step give the rule that check for the field Section Code by giving its tech name. and then give it as an error msg.
    Regards
    Mohit

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