Vendor Downpayment with Alternative Recon Account

Dear All,
Could we change the recon account while doing the down payments vendor/customer.
Is there any why please replay me.
Regards

Hi,
Make the necessary configuration in the Tcode FBKP - Special GL indicator- Vendor Downpayment.
You have to maintain the Alternate GL account against the Normal Vendor Reconciliation Account.
When u insert this Special GL while making vendor downpayment, the system will pick the Alternate Recon account maintained against Reconciliation of the Vendor Master in the Tcode FBKP.

Similar Messages

  • Postings with Alternative Reconciliation Accounts with Customer Invoice

    Hi Experts,
    In customizing i have defined Alternative reconcillation account for a Reco Account of customer.
    When i post 2 line items in customer invoice,it is picking recon account from customer master for 1st line item and alternative recon account for 2nd line item .
    But it should pick Alternative Reco Account for both line items.
    Kindly guide me which setting should be checked for this ?
    Regards
    Amit

    Hi,
    You defined alternative reconciliation account for customer but you still have some customizing points to check in addition for that.
    Please check OV64 ( IMG -> Sales and Distribution -> Basic Function -> Account Assignment/Costing -> Reconciliation Account determination -> Assign GL Accounts )
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    Hope this can help you
    Regards
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    Edited by: Tarek AYACHI on Oct 7, 2011 5:56 PM

  • One vendor master with different recon posting while accounting of the bill

    I have one vendor master, where we can able to give only one recon. account.  But the vendor supplies various materials like rm, pm and capital material.  I want to change the recon account while accounting the invoice.

    Hi,
    Changing the Recon. while doing the transaction is not possible and not advisable as later on Recon a/c wise reports(FBL3N) won't tally with(FBL1N).
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  • Customer with balance - Recon account change.

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    Here is the official SAP help on the subject:- 
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  • Vendor Master with Multiple Bank account in Multiple Company Codes

    Dear Team,
    We have multiple companies in our SAP environment, wherein a single vendor is extended to multiple Company Codes  (Cocds).  If we change the bank account in the vendor master, it is applicable to all the Cocds in which vendor is extended.  Few vendors want payment in different bank accounts.
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    Hi,
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  • How to transfer balance of one Recon. Account to another Recon.Account

    Hi,
    The scenario is that we want to change Reconciliation Account of all our vendors/customers. So we want to transfer the balance of old Recon Account to new Recon. Account.
    How it would be possible?
    Thanks&Regards,
    Murali

    hi P. M. Dhar
    You cannot post values directly from recon. account to another recon. account. On the other hand you cannot change the recon. account of a customer/vandor when the balance is not zero.
    Therefor you have to go this way:
    1. Create a technical vendor/customer with technical recon. account. (Technical means used only for this purpose).
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  • Balance in vendor recon account is not matching with the balance in subsida

    Dear All
    Balance in vendor recon account is not matching with the balance in subsidary ledger, the recons accounts inthe masters have been changed,how do i reconcile them

    Hi Surya,
    check f101 - tab parameter, flag Change recon acct.
    f101 carries out postings or gives you a simple list to determine all the open items with changed recon accounts.
    Best regards
       Horst
    Edited by: HorstRn on Jun 24, 2008 6:22 PM
    By the way.... this is the AM forum... Chance to get a solution is much higher in financials....

  • Recon with G/L account balance with vendor Balance

    Hi,
    There is difference in vendor balance with G/L account balance. How to do Reconcilation,
    let me know the steps/precess.
    Thanks in Advance

    Start of by comparing all the documents in the gl recon account to the documents from the ap list (for the same period).
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  • Vendor recon account

    i had mistakenly attached wrong recon account to vendor code.
    when i went to xk02 here system is showing recon account in in active mode. how to change this recon account.

    hi
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    go to OMSX  and here for change vendor make the field of recon acct as optional
    or
    try using code FK02
    or if u need to keep both accts then go to
    IMG -> Financial Accounting ->Accounts Recievable and Accounts Payable -> Business Transaction -> Postings with alternative reconciliation account ->Define Alternative Reconciliation Account for Customers or Vendors -> Double Click on the Line Item
    and define 2nd acct
    hope it helps
    regards
    kunal

  • Vendor Master for a Vendor with 3 bank accounts

    Hi All,
    Is it possible to have One Vendor master with 3 bank accounts (in payment trans screen)? One of our vendors has 3 bank accounts in different states.
    Do I have to create 3 Vendor Masters?
    Thanks in Advance

    Hi,
    I Think its possible with one only...In bank details you need to provide the details of the banks....its provided in the payment tab....
    Its given so as to achieve the above functionality....
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    regards
    Priyanka.P
    AWARD IF HELPFULL
    Edited by: Priyanka Paltanwale on Aug 26, 2008 1:33 PM

  • J1i2 report error ? if the vendor is attached with alternative payee

    Dear MM experts,
    I  am having an  issue with regard to J1i2 report. I have raised PO with JVCS tax condition on vendor (this vendor master has been attached with alterntive payee) .
    J1I2 report is not able get the data  of POs/MIROs detaile for such vendors (alternative payee attached). J1I2 is considering and pulling report for only Vendors (who are not having alternative payee code in vendor master data)
    Can i get help from experts, how I can get details of Vendors (attached with alternative payee vendor code).
    Thanks in advance,
    Thanks & regards
    Srihari
    Edited by: Ediga Srihari on Dec 24, 2009 11:37 AM

    problem/issued solved by sap service market place by suggesting us to go for Zreport.
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  • Changing the recon account

    hi,
    i have an issue like to change the recon account in goods receipt transaction. right now the vendor is having (x  for domestic )recon account and  now he is purchasing the capital goods from the same vendor and in the system there is another recon account (Y for capital goods)
    so right now we want the goods receipt transaction to capital goods recon account
    please let me know the procedure

    Dear  Alapati Srinivas,
    You need to customize "Posting with alternative reconciliation account".
    The SPRO path is: Financial Accounting-> Accounts Receivable and Accounts Payable-> Business Transactions-> Postings with Alternative Reconciliation Account-> Define Alternative Reconciliation Accounts (or T-Code S_ALR_87002480).
    In there you have to define account Y as alternative reconciliation account for X.
    Also in both X and Y master records you need to flag "Recon. acct ready for input" check- box in the "Create/bank/interest" tab.
    After that when you try to post incoming invoice the system will allow you to choose between X and Y as reconciliation account.
    Regards,
    Milen.
    Edited by: Milen G on Sep 1, 2010 8:20 AM

  • Alternative reconciliation account

    Hi,
    we have a following requirement from the client:
    The business process is the following:
    approx.10.000 Retail beer customers in dist. channel X and Y. We would like to invoice a so-called rent fee with sundry invoicing for the equipments they use. (In the future we will create other kind of sundry invoices for them too.) Depending on the category of the equipment we will invoice 3 different amounts per equipment.
    These customers will issue towards us an invoice with the same amount as a marketing contribution.
    Incoming and outgoing invoices have to be settled against each other. This is not a onetime action. We must repeat this process year by year.
    Business process:
    1.     Outgoing invoices have to be created for customers about the annual rent fee
    2.             Mass creation of sales orders and invoices using LSMW.
    3.     Customer issues an incoming invoice in the same value about marketing cost contribution ( with LSMW for FB01 transaction ).
    4.     Outgoing and incoming invoices have to be settled (zero settlement)
    4.     If customer doesnu2019t issues invoice, he has to be dunned
    My questions are:
    1) our client has asked to Make settings for u201CPosting with alternative reconciliation accountu201D: allow for G/L account ABC to post with alternative reconciliation account Nr. DEF.
    we can not change the recon. account to alternative recon. account here, when the customer invoices are get created from VF01, so what is the purpose of alternative recon. account here ?
    2) How to carry out Automatic Zero settlement of incoming and outgoing invoices using automatic payment program?
    Thanks,
    Vidya

    Answer 1
    =======
    During document entry, you use the reconciliation account to define the G\L account in which the transaction figures are to be updated. You determine which G\L account is to be used using:
    The special G\L indicator or
    The reconciliation account which is defined in the master record (default) and, if relevant, any additional alternative reconciliation accounts which you can define per reconciliation account in Customizing
    Define accordingly for customers and vendors
    Answer 2
    =======
    The is no automatic scheduling of Payment Run in F110
    However, you can schedule the proposals in F110S. Make you use of this.
    Create a variant and schedule them in background.
    Regards,
    Ravi

  • No Alternative reconilication account is found

    Hi All
    While doing MIRO, i am getting the error message as 'No Alternative reconciliation account is found' Message no. /SAPNEA/J_SC802.
    I have mainatined the Recon A/c number in the vendor master. Fot this Reco account i have also mainatined alternate reco account in IMG under - FI - AP - BT - Postings with alternative reconciliation account.
    Both the reco accounts are also ticked ' Recon account Ready for Input'
    Could someone help me as to why i am getting this error
    Thanks & regards
    Pooja

    Hi,
    Check setting in TCode OBXT.
    Warm Regards

  • Recon account ready for Input-Not possible to change during MIRO

    Hello
    We are on ECC 6.0
    System does not allow users to change Vendor Recon A/c during invoice verification through MIRO. Recon A/c field is greyed out under Details tab in MIRO.
    Recon Account has been declared as Ready for Input and Alternative Recon A/c has been mapped wrt GL A/c by assigning it an ID.
    However, i am able to change recon A/c during invoice booking through FB60 or F-43 t codes.
    What am i missing?
    Does sytem allow change of Recon A/c in MIRO? If yes, how?
    Thanks.
    Vimal

    Hi, check vendor rec. account for this Company code, then check Accounts Receivable and Accounts Payable-Business Transactions-Postings with Alternative Reconciliation Account-Define Alternative Reconciliation Accounts
    If there exists such Defining, so check may be Alternative account just for Aut.posting, or forbided for posting in this Currency

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