Vendor Invoice amount

Hello Experts,
I am working on designing of check. We print check on the first half of A4 size page and in the second half of the page we print invoice amount and net amount of each invoice along with few other fields. Can someone tell me what table fields should I use for invoice amount, discount and net amount for printing.
The amount that we print on the check is the sum of all the net amounts of all invoices of that vendor.
Any help in this regard is rewarded and highly appreciated.
Thanks,
Sriram

Hi Sriram,
You get all the data relevant to the settled amount in a payment run in the table REGUH (Settlement data from payment program).  This table contains the document number of the payment document, no. of items paid and the cash discount details as well relatint to a particular payment run.  Most of the fields which you require are found in this table.
If you want some other information which you dont find in REGUH table, I am sure that you will find the same in the table REGUP (Processed items from payment program).
Hope this answer helps you.  Please reward points if helpful.
Regards,
Sreekanth....

Similar Messages

  • Consignment Vendor Invoice Amount Adjustment

    Dear All,
    Normally in SAP, The vendor invoices for consignment in purchasing is posted from MRKO. There is no invoice posting from MIRO.
    In MRKO, after entering the selection details, we choose SETTLE for processing type, then we run it and vendor invoice is posted.
    So I wonder how can our client make some adjustments for very small differences in the price ? Because normally there may be some differences like 0,50 EUR because of the roundings. So how will these difference amounts will be posted ?
    Thx in advance

    Hi,
    MR11 shows the amount for GI/IR account if there is any.. But in consignment case.. you put the price to inforecord, then withdrawals occur. According to these withdrawals you settle the vendor invoice. But the price is already captured from the inforecord.  When you settle it, SAP assumes the price as the inforecord price. That is ok. But because of the roundings (because it is only two digit after comma) the real vendor invoice may be different like 0,50 eur (for example you posted 300 EUR, but real invoice is 300,50 EUR)
    This happens very frequently for our customer. So MR11 is useless for that case. There shall be some other trx to make these differences to be posted. So how will the 0,50 EUR posted ? This 0,50 eur will not appear in MR11

  • Vendor Invoice amount allowing any higher value

    Hi
    1. While I do a vendor invoice for a PO, the document balance field (DIFFERENZ) is showing in Green light even before I input the amount in the Amount field.(WRBTR)
    2. And also, if the total invoice amount is USD 1000.00, the amount field is allowing any higher amount. How do i control that ?
    Thanks
    Maruthi Ram

    Hi,
    U can Block Invoice for Higher Limit as well as lower Limit.
    Go to SPRO -->  MM --> Logistic Invoice --> Invoice Block
    Here Go to Company Code and PP - Price Variance and maintain Upper and lower Limit.
    Hope Help U !
    Regards,
    Pardeep Malik

  • FV60 Vendor Invoice Amount Split Tab Field

    Greetings! Our users do not have authorization to access to FB60 - how can we open the fields (OTA and NAME OF OTA PAYEE) in the Amount Split Tab using FV60 - Park Vendor Invoice? Thank you in advance

    Hi:
            In the amount split tab of FV60 there will be a Yellow and blue button on the right corner named as configuration. Just click on it and go to Administrator and there you will see OTA and name of OTA payee . Please see if this has been set as invisible there. If they have not been set as invisible and still you can not see them in FV60 Amount split then the only way to fetch these fields in FV60 is through SHD0...For that please proceed as under
    Go to SHD0...Enter FV60  in Transaction code and ZFV60 in transaction variant.Press create button on the left top corner and enter co code and press enter again when next screen appears, it will take you to the main screen of FV60.. Enter vendor , invoice date,amount , GL account and and its amount and then keep on press entering and giving name to screen where it is required unless a FV60 main screen appears again...Now go to amount split tab and keep on pressing enter unless amount split tab screen appears, data already entered in main screen will be seen by you there , press enter two times times you will see a screen 0090 carrying these OTA fields there you will have to just un check the invisible tick from them and then exit and save with a proper name for screen variant. Give ABAP package name and exit. Upon exit in SDH0 standard variant tab assign and activate this ZFV60 variant and now you will be able to see them.
    Hope it resolves your issue.
    Regards

  • Vendor Invoice w/ different exchange rate on taxable amount and tax amount

    Hi Experts,
    I have an issue with regarding the Vendor Invoice with Foreign Currency. Normally we use JPY as our base currency and system exchange rate for out Vendor Invoices. But there was an audit issue pointing out that the Original Vendor Invoice is not tallied with the SAP Invoice as the tax amount is not the same. The problem is the Original Invoice has the Vendor Exchange Rate and it is not the same with the system rate that we use. Auditor tells us that we should use the Vendor Exchange Rate for Tax Amount and use the System Exchange Rate for the Taxable Amount. Is this possible? Can we use 2 Exchange Rates in a single Invoice Document one for the taxable amount and one for the tax amount? How can we possibly do this? Or any workaround?
    Thanks a lot for the information!

    I think its a bit misleading...The requirement is to post an Invoice with a base taxable amount of  Exchange Rate A and a tax amount of Exchange Rate B. The Base Currency is JPY and the System Currency is SGD. So the Report S_ALR_87012357 should see the amount in SGD there. The Issue is caused by the different exchange rate on the tax amount submitted by the Vendor Invoice.
    Example: Vendor Invoice Amount: 926,413.00 JPY, then we created PO to Invoice with Base Currency JPYalso amounted 926,413.00 JPY. However, in the Vendor Invoice Amount, the Tax Chargeable is 923.00 SGD (based on their exchange rate 65.66 JPY per SGD). But our Exchange Rate (System Rate) is 63.49 JPY per SGD. How can we reflect the Tax Amount as 65.66 JPY but still the correct SGD amount is based on the Vendor Original Invoice Exchange Rate 65.66 and not the System Exchange Rate, 63.49 in the same Invoice Creation (MIRO)?

  • In F110 -Customer as a Vendor  invoice clear and make payment

    Dear all ,
    Can we make payment through in F110.
    WE maintain Customer as a vendor and Vendor as customer,While running automatic program system
    showing error massage"No pymt possible because items with a debit bal"
    But over all amount is credit ,But only customer invoice showing like this.
    Could you tel me that ,Is there any setting    ,Wt setting we have to configured .How to solve this issue
    Thanks in advance
    Regards
    Girish.

    Dear all,
    Kindly suggest me how to do this.
    we have maintained customer as a vendor in different company code
    one company code xxxx here we maintained as a customer ,In this
    customer master data we maintained vendor no and clearing with vendor we have selected.
    In next company code yyyy here we maintained vendor as customer ,here we maintained customer no and selected clearing with vendor.and payment method .
    In xxxx company code customer as a vendor balance is 1000.
    In another company code yyyy here vendor as customer balance is 15000,
    paying company code is yyyy.
    while running F110 system asking paying company code and sending companycode,we are entering two times.first time yyyy and second time xxxx.
    that time showing error"No pymt possible because items with a debit balance"
    Then we edit proposal its working fine ,But its not clear against vendor
    invoice
    system taking full vendor invoice amount(15000) as a out going payment
    and 1000 is incoming payment.
    But we want pay only difference amount of the invoice.
    For this what we need to do in the system please guide
    thanks in advance
    Thanks and Regards
    Girish

  • Vendor Invoice info

    Hi  All,
    I am looking for FM/tables  that gives some info about
    Company,
    Internal Order,
    Vendor,
    Invoice Amount,
    Invoice Date,
    Tax Amount,
    Tax Jurisdiction,
    G/L Account Affected.
    Could you please help me with this.
    Thanks in advance,
    Raja Chandra Rangineni

    Hi,
    You should get details from Tables BSIK , BSAK,BSIP
    LFA1 General section
    LFAS VAT registration numbers general section
    LFB1 Company code
    LFB5 Dunning data
    LFBK Bank details
    LFC1 Transaction figures
    LFC3 Special G/L transaction figures
    LFM1 Record purchasing organization data
    Logical databases: KDF
    Regrds
    Hiren K.Chitalia

  • Posting Tax Amount in BAPI_ACC_DOCUMENT_POST (Tcode FB60 - Vendor Invoice)

    Where do I need to populate the Tax amount in BAPI_ACC_DOCUMENT_POST inorder to create Vendor Invoice (Non PO) - FB60.
    I have populated Tax information GL A/c, Condition key, Account key, Tax Code in u2018ACCOUNTTAXu2019 table and Tax amount $7 in 'CURRENCYAMOUNT' table but got below errors:
    u2018Balance in transaction currencyu2019 - when we have $-107in Vendor line, $100 in GL line & $7 in Tax line. (It showing difference $7).
    The tax amount must not be greater than the tax baseu2019 - When we have $-107 in Vendor line, $107 in GL line & $7 in Tax line.
    Here is the code, please check and suggest me:
    Header Details:
    it_documentheader-obj_type   = u2018BKPFFu2019.
    it_documentheader-doc_date   = u201811/08/2011u2019.
    it_documentheader-pstng_date = u201811/08/2011u2019.
    it_documentheader-comp_code  = u20180001u2019.
    it_documentheader-ref_doc_no = u2018TESTQ108u2019.
    it_documentheader-doc_type   = u2018KRu2019.
    it_documentheader-obj_key    = u2018$u2019.
    it_documentheader-username   = sy-uname.
    it_documentheader-bus_act    = u2018RFBUu2019.
    it_documentheader-fisc_year  = u20182011u2019.
    Vendor Line u2013 Accounts Payable
    lv_item_no  = 1.
    it_accountpayable-itemno_acc = u20181u2019.
    it_accountpayable-vendor_no  = u20187800988u2019.
    it_accountpayable-comp_code  = u20180001u2019.
    it_accountpayable-pmnttrms   = u2018DUBPu2019.
    it_accountpayable-tax_code   = u2018I1u2019.
    it_accountpayable-taxjurcode = u2018000003749u2019.
    it_accountpayable-item_text = u2018Test123u2019.
    Populate currency amount for account payable data
    it_currencyamount-itemno_acc = u20181u2019.
    it_currencyamount-curr_type  = '00'.
    it_currencyamount-currency   = u2018USDu2019.
    it_currencyamount-amt_doccur = -107.
    it_currencyamount-amt_base = 100.
    Append it_currencyamount.
    G/L Account data
    it_accountgl-acct_type  = u2018Su2019.                         " GL
    it_accountgl-itemno_acc = u20182u2019.
    it_accountgl-gl_account = u2018623000u2019.
    it_accountgl-item_text  = u2018Test123u2019.
    it_accountgl-costcenter = u20181099u2019.
    it_accountgl-profit_ctr = u20181u2019.
    it_accountgl-comp_code  = u20180001u2019.
    it_accountgl-tax_code   = u2018I1u2019.
    it_accountgl-taxjurcode = u2018000003749u2019.
    Append it_accountgl.
    it_currencyamount-itemno_acc = u20182u2019.
    it_currencyamount-curr_type  = '00'.
    it_currencyamount-currency   = u2018USDu2019.
    it_currencyamount-amt_doccur = 100.
    Append it_currencyamount.
    Tax Line Details:
    it_accounttax-itemno_acc = '3'.
    it_accounttax-gl_account = '0000210000'. 
    it_accounttax-acct_key = 'NVV'.
    it_accounttax-cond_key = 'XP1I'.
    it_accounttax-tax_code   = 'I1'.
    Append it_accounttax.
    it_currencyamount-itemno_acc = '3'.
    it_currencyamount-curr_type  = '00'.
    it_currencyamount-currency   = u2018USDu2019.
    it_currencyamount-amt_doccur = 7.
    it_currencyamount-amt_base = 100.
    Append it_currencyamount.

    Hi
    See this [post|BAPI_ACC_DOCUMENT_POST and partial non deductible VAT;. It's related with Note 487064 - Direct posting to tax account with AC BAPIs.
    I hope this helps you
    Regards
    Eduardo

  • Tables for vendor invoice no, date, amount, tds, deduction

    Hi experts, i m new to implementation. i m now doing report for vendor payment voucher.
    as per per the payment voucher no and date, in item data i want the tables stores the vendor invoice no, date, po no after MIGO & MIRO,  bill amount, tds, deduction (debit note, advance etc).
    regards
    thanks in advance.

    hi,
    LFA1
    LFAS
    LFAT.
        These tables is not useful for now for Report of Vendor payment voucher.
    In header data, i want pament voucher no, date, vendor no, name(i got in table-field REGUP-VBLNR, regup-bldat, regup-lifnr &  lfa1-name1)  .
    now i want in item data vendor invoice no, date, GR no, date, invoice amount, tds amt, deduction amt (separately like advance amt, debit note etc).
    till now i found invoice no,  inv amt (table-field BSIK-BELNR, BSIK-DMBTR).
    Now i need GR no,  GR date, tds amt, deduction details amt.
    Plz send with table-field names, and how to relate with above.
    regards,
    debendra

  • (very urgent)Difference of amount in vendor account and vendor invoice.

    Dear all,
    we are facing a issue related with vendor account actually MIRO post for the amount is showing difference compare with vendor invoice,
    please consider this scenario:-
    we are having vendor bill/invoice for Rs 1110/-
    but in SAP amount is showing 1105/- showing a Rs 5/- difference
    we found that this difference is showing becuse of we are maintaing material on single quantity whareas we got the price from vendor on BOX or bulk qty when we are deviding this price with the quantity the price will come on 4 decimals again here also we are maintaing two decimals. 
    from this we come to conclusion that this problem will occure again and again
    so it is advaisable to create a LOSS DUE TO AMOUNT ROUNDIG OFF account and posting these differnce to this gl to clear the open item that is showing in vendor master.
    Here please suggest me how to resolve this issue
    a)for the current scenario we are having many MIRO which we sre posted having the difference of only RS 1,2,3,4,5,
    this difference will come between this range only so please suggest me to resolve thisa issue
    SU

    Hi,
    if you go to SM30, view V_169L, you can configure what is considered as a "small difference". Small differences are then automatically posted, see account configuration in OBYC.
    However, I think this is designed if the vendor really invoices you a little bit too more or less. But in your case, this is not the problem. The problem is, as you have realized, that the price unit is set to small (actually, to 1 PC). The proper solution is not to post the differences away, but to stop this incorrect calculation. Small diffs should only be posted if there really were some small diffs!
    Example: agreed price with vendor is  1,001 RS per piece. As you keep your RS currency with two decimals, the price in SAP would be 1,00 RS.
    If the invoice is about 1000 pc, then the correct price is 1001,00 RS. This is what you see on the invoice and this is also correct. However, within SAP, you will see an expected value of 1000,00 RS only, so you have a difference of 1,00 RS.
    You do not need to touch the material master to fix this. Only thing you need to maintain is the PO line, where you have entered the price as 1,00 (rounded!!!) RS by 1 pc.  This must be changed like this: 1001,00 RS by 1000 pc. Then it will work fine.
    Hope that helps, points welcome
    Csaba

  • Cheque Payment PLD - AP Invoice no., Date, Vendor Ref. AP Invoice Amount

    hi all,
    I am trying to modify the Cheques for Payment PLD to include row details for each AP Invoice, included in the payment(these details are available in Outgoing Payments PLD)
    Details needed are:
        Invoice Date      AP Invoice No     Vendor Invoice Ref.                 AP Invoice Amount
    1
    2
    3
    etc
    These details are not available in the in standard "Cheques For Payment (system)" PLD.
    Would any one have a sample PLD suitable to use for this issue.
    Kind Regards
    Eric Walker

    Update,
    We tried copying the cheque PLD from the US Demo database and its worked.
    I now  have row data that includes, date, AP Invoice, AP Invoice Vendor Invoice number, AP invoice amount.
    So I don't how this can be, the US PLD also used variables. When I try to use the US variable No. I get an error indicating they are invalid, in my local system PLD.
    Still like to know how to do this with our system PLD or how a  variable can be added in our system.
    Kind Rgards,
    eric

  • Vendor Invoices clearing

    Hi,
    We have a requirement that Company is divided into 2 companies. The other company is using Oracle for its business.
    We have an issue is that How to clear the vendor invoices in the base company?
    What are the neccessary steps to be followed for the separation (demerger) ?
    At the end of day, all the invoices related to 2nd company will be shown as cleared (in Base company).
    could any one suggest your views and explain the process to be followed.
    I appreciate your early response.
    Regards
    Pratap

    Hi !
    We can do the followings ::
    1st : In Compny Code A, we need to pass following entries :
    Entry would be : In the Books of Comapny A :
    (a ) Pay to the Vendor of B's..
    Vendor A/c DR ...
    TO Bank A/c CR
    (b) Claim the same from B..by Debiting B's A/c...
    B's  A/c .. DR
    TO A's A/c...CR
    (c) After receive the same from B...
    Bank A/c DR...
    TO B's A/c..CR
    ( After all you would find Vendor A/c.. Dr.. to A's A/c )
    2nd : In the Books of B's..
    ( a ) Pay the amount to Company A ..
    A's A/c Dr...
    To Bank A/c CR..
    I hope the above would clarify to some extent.
    Regards,
    Bhabani

  • Bank charges on Vendor invoices to be borne by Vendor during F110- How ?

    Hi FICO Gurus,
    I have a scenario as below.
    While doing F110, for some vendors my client wants the bank charges(Wire/TT charges) to be deducted from the invoice amount.
    For instance if I have to pay USD 1000 to ABC vendor, for the relevant wiretransfer/Telegraphic transfer say USD 10 is chaged by the bank. I need the bank to charge the amount from the vendor and pay them only USD 990 and take the USD10 towards their commission rather than charging it to my account.
    Is there an indicator in the Vendor master or FBZP config  with which I can achieve the above explained requirement ?
    Thanks in advance for your time.
    Dasaradh.R.Boreddy

    Hi,
    I assume we are talking about a DME-file sent to the bank. When using formats derived from MT101, you can specify in a tag who will bear the charges.
    Example: W1SE Corporate e-Banking CASH MANAGEMENT SWIFT,
    Tag:
    :71A: M Details of Charges
    This field specifies which party will bear the applicable charges for the subsequent transfer of funds.
    Usage rules:
    One of the following codes must be used:
    BEN: All transaction charges, including the charges of the financial institution servicing the ordering customeru2019s
    account, for the subsequent credit transfer are to be borne by the beneficiary customer.
    OUR: All transaction charges for the subsequent credit transfer are to be borne by the ordering customer.
    SHA: All transaction charges other than the charges of the financial institution servicing the ordering customer
    account are borne by the beneficiary customer.
    There will be similar rules in place regarding the DME exchange you do with your bank.
    Hope this helps,
    Kind regards,
    Rudolf

  • Report for vendor - invoices

    What is the report to get a List vendors - total invoiced amounts during a certain period
    Thanks
    SK

    SK,
    Please check if the vendor analysis report MC$4 serves the purpose.
    Hope this helps.
    H Narayan

  • Disputing Vendor invoices

    Has anybody got the SAP FSCM dispute management process to work for Vendor invoices?
    I dont believe this should work - but there might be some special config or process that I am aware of.

    Hi Mark,
    Dispute Management for vendor invoices should not work.  After FSCM itself is designed from AR side only.
    But was just giving a thought if we could use it for limited part but assuming we create an RMS with vendor elements, first point is how do we create dispute cases - Using the customer disputed objects - but shouldnt sap standard check for an existence of customer?  Also the standard amounts will not be updated as per the accounting document.
    But don't you feel a standard case management/records management should be enough for tracking vendor disputes though a lot of work has to be done in terms of designing the solution.  But just tracking of the disputes and notes should be fine right.
    Regards,
    Ravi

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