Vendor issues (trading partner and bank account)

Hi Experts,
I need your advise on the following topics
1. we were trying to update the bank details of a vendor. However, we are going to use a 20 digits bank number for russia usually its only 18 digits (RUXXXXXXXXXXXXXXXXXX). in the customizing in OY17 the maximum bank account number length is only 18 digits. We followed sapnote 96624 (Store the first two digits in the 'Bank control key' field and then Store the remaining digits in the 'Bank account number' field) but when trying to update the IBAN (RUXX-XXXX-XXXX-XXXX-XXXX-XX) we recive an error that its not correct. Is there another way to update the IBAN with a 20digit bank account number without increasing the maximum bank account number length?
2. we have updated the trading partner field in the vendor master. after the chnages were saved we immediately posted a document (more or less 1 minute interval) this field should have been automatically been populated but upon checking the document today trading partner in the document is blank. it only happened in this one document. please advise the possible cause of this inconsistency, how can it be traced and if there are possible correction.
Thanks for your inputs

Hi,
1. adjuste FM CONVERT_BANK_ACCOUNT_2_IBAN_RU to include the control field
2. reverse document & repost.

Similar Messages

  • Check in vendor master record between Bank Key and Bank Account for Belgium

    Hi all, just a request.
    In Belgium the first three digits of the Bank Account are always equal to the Bank Key.
    Unfortunately SAP does not check if they are different.
    Is there a standard check or should I "offer" a custom control?
    Thanks a lot !!!

    Dear,
    I checked right now in SPRO, but no validation with combination of Bank key and Bank account - that to particular first 3 digits not available. Option available is with ABAP Development.
    Option 1.
    You create Bank key using transaction FI01. Remove authorizations for FI01 from all users [Hope this already exists in your system].
    In vendor master, if you enter Bank key - which also selectable with F4 option, if bank key manually entered and PRESS ENTER, one more new screen open to enter Bank data. That means after pressing enter system validating our entries in bank key with database and when not available, populating new window to enter new entries.
    Now when ENTER pressed, suggest Development team to display an Error message 'Bank Key XXXXXXX not available'. By this user cannot enter a bank key as their wish.
    Once valid bank key selected from selection screen - validate bank account entry first 3 digits of Bank key 3 digits entered. If not matched - Error message.
    Option 2.
    Simply remove authorizations for XK01, XK02, MK01, MK02, FK01, FK02 from all users and authorize only one user in creation of Vendor master who aware and take care of entries.
    Regards,
    Syed Hussain.

  • Electronic Bank Statement and Bank Accounts change...Statement Upload

    Hi,
    I have an issue with electronic bank processing.
    Currently my client is using A100 company code and bank account 123456 gl code 45000 and they are updating bank statements through electronic bank statement.
    Now they have activated A200 company code and they want to use same bank account 123456 and gl code 45000 in new company code and the entire electronic bank statements need to be updated into A200 and A100 company code will exist in sap but client dont want to use this.
    What customizations need to be done in SAP and how system will come to know A200 company code need to be updated when they update electronic bank statement next time?
    Is there any specific customization in sap that shifts company codes and gl codes for electronic bank statement uploads?
    What will happen to historic data when the same gl codes are used with different company codes?
    Once the F110 is executed there will be batch job which will run to upload file...do we need to change anything here....
    Jaya.

    Hello-
    Are you saying going forward you are are not going to use A100 and start using A200? If so, from an EBS config standpoint, all you would have to do is use the same transaction type and remove the assignment of old company code & bank account + bank key to the transaction type and enter the new assignment to new company code.
    Next, make sure to create all the bank accounts and clearing accounts in the new company code (assuming all the config related to bank is completed).
    This is it. When you upload using FF.5, it will look at the bank account number from the upload file and look for the company code.
    Hope this helps.
    Shail

  • IBAN: no control with Key Bank and Bank Account

    Hi,
    I maintain the IBAN number via SM30 (SAP 3.1I), but there is no control between the IBAN and the corresponding Key Bank (TIBAN-BANKL) and Bank Account (TIBAN-BANKL).
    This means you can enter a valid IBAN whatever the key bank and bank account number.
    Ex:
    BANKS BANKL  BANKN         IBAN
    NL    019    0192331515 -> NL94RABO0192331515
    NL    024    0240640764 -> NL94RABO0192331515
    u2026
    If anyone has resolved this issue ?
    Thank you
    Laurent

    I think, System validates IBAN when you flag "Bank data" check box in country specific checks (General settings). Check this setting in your case.

  • Difference of Bank key and Bank Account

    Hi,
    Can Some one guide me to unsderstand the maning of,
    1) Bank Key and Bank Account in Vendor Master ?
    2) Bank Key and Bank Account number in FI12 Tcode ?
    3) Because My understanding is In FI12 T Code those are our company code banks thorugh which payment is done to Vendors correct me if Iam wrong.
    Points will be awarde.
    Regards,
    Pallavi.

    Hi Pallavi,
    Press F1 help in the Bank key field, this is the information you find there:
    Bank key you specify the bank key under which bank data from the respective country is stored.
    When you define the country key, you also specify the country-specific definition of the bank key.
    Normally, you manage banks using their bank number. The bank number in the control data for the bank is then displayed twice, that is, as the bank key too.
    In certain countries, the bank account number takes on this function; then there are no bank numbers and the bank data is managed using the account number.
    For data medium exchange, you may find it useful to be able to enter foreign business partners without a bank number, even if there are bank numbers in the country in question. In this case, the bank key can be assigned internally.
    To manage bank data using another key, for example, the SWIFT code, external number assignment can also be used.
    Bank Account number is your account number in the respective Bank.
    Please reward points if helpful.
    Regards,
    Sreekanth....

  • HT1926 How can i run a german and an english itunes account on ONE iphone/pad. Have in each country my own adress and bank account and to each adressa different email.

    I live in germany and work in England
    In both countries i have a proper adress and bank account. I am registered with itunes in germany but need also to buy English Apps.
    So I started an english App account, with valid english  adress and credit card on the same device where the German one is installed
    Means can I have 2 accounts on one and the same advice? Seems
    It does not work.
    Also I have the notice on my PC now that Itunes has not been installed correctly please reinstall itunes Error 7 windows error 193
    Many thanks applesammy

    Quote: "You cannot merge two or more Apple IDs into a single one. You can, however, use one Apple ID for iCloud services and another Apple ID for store purchases (including iTunes in the Cloud and iTunes Match). See “Using one Apple ID for iCloud and a different Apple ID for Store Purchases” above for details." See also Apple ID & iCloud FAQ: http://support.apple.com/kb/HT4895?viewlocale=en_US&locale=en_US
    You can set up your iCloud account on your iOS device under: "Settings > iCloud" and a other account for store purchases under "Settings > iTunes & App Stores". Unfortunately merging accounts is not possible but you could transfer all of your music manually via iTunes from your Mac or PC.

  • Lockbox Customer Number and Bank Account Validation

    When attempting to run lockbox, we are populating both customer number and bank account number. My understanding is that when providing bank account only, Oracle requires this be the pirmary bank account for the customer. It uses this information to identify the customer.
    When we provide the customer number in our file, it should use that value.
    We do not have the primary flag set for any bank accounts, as we have multiple per customer in many cases, any of which can receive payment.
    Oracle is not processing these records with both fields populated because we do not have the account marked as primary.
    Is this the way I should expect Oracle to process the file. I think it should accept this record.
    thanks
    Bill

    That's what I thought as well, but it isn't. It's set as text and still drops it as if it were an integer
    If I enter 0123456 into this field, when I go into 'Cases' to retrieve this information, it is displayed as 123456

  • Trading partner and Trading partner business area tables

    Hi Sap Experts,
    Trading partner and Trading partner business area if both are master data in which table both will be stored.
    Please give me advise.
    Regards,
    Prabhakar
    double post

    Hi,
    Please refer to the below links :
    For Trading Partner:
    http://help.sap.com/saphelp_45b/helpdata/en/d7/0753e743b911d189ee0000e81ddfac/frameset.htm
    http://help.sap.com/saphelp_erp60_sp/helpdata/en/01/a9b4e3455711d182b40000e829fbfe/content.htm
    For External Manufacturer:
    http://help.sap.com/saphelp_di46c2/helpdata/en/7f/a7e7464d6011d2b438006094b9c9be/content.htm
    Regards,
    Kiron Kumar T.

  • House Banks and Bank Accounts

    Hi,
    Can any one tell me how to create House banks and bank accounts programatically of FI12 tcode.
    Any FM or BAPI will do?
    Thanks
    Viswa

    Hello Viswa,
                       You can use the FM "BAPI_BANK_CREATE".
    Thanks,
    Greetson

  • Banks and Bank Accounts Conversion

    Hi..
    Can any one tell me whether I can use the API "ARP_BANK_PKG" for the conversion of Banks and Bank Accounts.
    Thanks in Advance.
    Regards,
    Naren

    According to note: 395562.1, Oracle Payables Development has not released any API's for creating or maintaining bank account records.
    ARCUSBAB.pls is ARP_BANK_PKG -- it's the API package that AR and iReceivables and probably other products use to create bank accounts.

  • Billing address and bank account details

    I need to change my billing address and bank account details from New Zealand to UK. Please let me know how to do this.

    Change/Verify Account https://forums.adobe.com/thread/1465499 may help
    -Credit card https://helpx.adobe.com/x-productkb/policy-pricing/membership-subscription-troubleshooting -creative-cloud.html
    -email address https://forums.adobe.com/thread/1446019
    -http://helpx.adobe.com/x-productkb/policy-pricing/change-country-associated-with-adobe-id. html

  • House bank and Bank Account creation

    Hi All,
            we need to migrate house bank and bank accounts from one system to another. Can anyone please lemme know if there is any bapi to create the same or any function module or a lsmw object for the same.
    Regards,
    GUrpreet Singh

    Hi,
    check:
    BAPI_BANKDETAIL_CREATE
    in LSMW there is standard object 0250 - Bank Data
    Regards Vassko!

  • Go-live in EC-CS:update trading partner and transaction type on Balances

    Hi collegues,
    We are on a go-live this december for EC-CS (consolidation) but never have used trading partner nor consolidation transaction type so there are not GL account balances differenciated by these two items on our FMGLFLEXT database for the operative ledger.
    Which is the best option for the data to be collected into our consolidation ledger in EC-CS (ECMCT database) when data transfer for all our consolidation units will be realtime update from FI?
    I really don't know if I must correct the balance on FMGLFLEXT throught FI postings or if just adjustments on EC-CS it's the best option. I'm thinking on the posibility of extracting the Financial Statement at any time from F.01 tx...
    Is there any transaction on FI to authomatically update at least the trading partner on GL accounts positions/balances?
    Thanks in advance!
    Regards,
    Rushid

    Hi David,
    In fact there has never existed any entry for trading partners on GL, AR, AP master data. So consequenly, no balance in FAGLFLEXT/ nor documents on BSEG have ever had these fields populated.
    My question is: which is the common option for a go live in such situation? Our users will distribute the current GL balances into "sub-balances" (GLAcctTxtypetradpartner) in an excell file but I do not really know what to do with this data:
    - direct postings on BSEG cancelling the previous totals,
    - rollup into a Special ledger of the new gl,
    - rollup into the Preparations for Consolidation Ledger,
    - corrections on ECMCT after the periodic extract...
    What would choose? 
    Thanks!

  • Regarding Bank key and Bank account number

    Hi All,
    I have a query regarding Bank key and Bank account number.
    I want to set bank account number length as 9 digits. so I set it @ below path
    SPRO -> SAP NetWeaver-> General settings -> Set countries -> Set country specific checks.
    I tried to change the bank account number length to 9 digits from existing 10 digits using transaction FI12.
    But while changeing the bank account system throws an error like "Bank account number or bank number are not of valid length".
    Can any one suggest solution on this?
    Thanks in Advance!
    Regards,
    Nidhi

    Dear Nidhi,
    It seems that earlier bank account number contained 10 digits and then setting was changed to 9 digits that may be the cause of the error. Do one thing, go back to country setting and restore the bank account number digit to 10. Then make changes to bank account number to 9 digits. Make similar changes to all bank in your company code which has 10 digits.
    Then go to country settings and make account number digit to 9 digit which will prevent bank account number to be 10 digits created in future.
    Regards,
    Chintan Joshi.

  • HT3702 Why I cannot purchase smurfberries in smurfs village as long as my credit card and bank account are fine ?

    Why I cannot purchase smurfberries in smurfs village as long as my credit card and bank account are fine ?

    Yoor post is very confusing. AOL's iPad magazine is called "Editions" and it's free. "The Daily" is put out by TheDailyHolding and is owned by Rupert Murdoch. You've already posted in another thread where the solution was given. Other people seem to have manged to get unsubscribed.
    Best of luck.

Maybe you are looking for

  • HP LaserJet 1536dnf MFP driver download not working

    Not working since I upgraded Windows . Also completed uninstall, complete reinstall, should be plug and play, went to Hp site downloaded driver specific to this printer, gets almost to the end, even shows that scan operation should work but then erro

  • LabVIEW FPGA Sine Wave Generator Reset Input Behavior

    I would like to know what the output from the Sine Wave Generator express VI is while the reset input is true, and what happens to the output immediately after the reset input is set false. I need to generate a regular sequence of positive half-cycle

  • Why can't we call procedure in sql stmt

    Hi, Why can't we call procedure in sql stmt?

  • Statistical Plant Maintenance Orders?

    Hi there, We would like to try to avoid running settlement on PM orders.  We would be happy with the accounting treatment in CO that is used on statistical Internal Orders.  ie posting goes both to the order (statistical) and cost centre (real).  How

  • Urgent!!! Linking Issue

    Hi everyone, I've been searching around the forums trying to find an answer to my problem but I cannot. I am creating a full website for a class (which was due at 12:00) and need some help with links that are failing. Although they work in the previe