Vendor Master Correction

Hi
When i was trying 2 Psot an entry in FB60 or f-43 i was getting the following message :
" Account 100001 in Company code XXX is marked for deletion"
I have checked in various other Accounts like 100002 stil it iscoming the same message.
Then i have checked in the Vendor Master Record all the settings are correct. Still i  cannot find out what is the Wrong going on.CAN ANY ONE REPLY ME SOON

Hi
Try this report S_ALR_87012086 and in input screen select 'with delete flag'. This will show all vendors marked for deletion through FK06
Thank You,

Similar Messages

  • Problems in Vendor master record.

    Hi Sdn Experts...Could you help me?
    I have problems with vendor master record. I have vendors in duplicity....to solved this I aplly the solution by sap for make the consistency by Tax number. Now I cant insert the vendor with the same Tax Number...But appear other problem..I have a lot of vendor in duplicty befora i aplly the solution and i need to eliminate this vendors...
    I execute the Transaction XK05 ( Block Vendor ) and XK06 (Mark Deletion Flag), but doesnt work...because if i make any modification in a vendor master correct the system show up the message..
    ''Vendor master record with the same tax number already exists''
    There is other way to make the deletion the vendor record? How I solve this issue?  Pleaaase help meee!
    Take a look in the File
    [http://www.easy-share.com/1903543315/vendor_problem.doc]
    Thanks,

    hi
    u have to archive the vendors inOBR2 or the simple way is go to XK99 here give the list of the vendors and then change the description with * in mass
    so description of all the duplicate vendors will be * and then flag them for deletion so they cant be used again
    agin u can use them agin by changing the name by some other vendor so u can use the same vendor code for other vendor by just changing the  description
    regards
    KI

  • Vendor master Creation in Development Server and Production Server - ASAP

    < MODERATOR:  Message locked.  Please read the [Rules of Engagement|https://www.sdn.sap.com/irj/sdn/wiki?path=/display/home/rulesofEngagement] before posting next time. >
    Hello everyone,
    I just want to know that how to transfer the vendor accounts or vendor master data from dev client to Prod client?
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    Hi
    Your understanding is correct.
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  • Header Text PO from Vendor master automatically

    Dear Friends
    This is regarding automatically adoption of header text in PO from vendor master. I am following these steps
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    Regards
    SG

    Hi,
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  • Signature error while attaching document in vendor master

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    Subbu

    Resolved.
    Filename path was not correct.

  • Blocked vendor master (Ordering address) not considered in PO

    Hi Team,
    Recently we have upgraded our system to ECC6 from 4.6. After upgrade,
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    Hi,
    Please try below SAP note for the same
    Note 1609717 - Vendors with blocked purch orgs are not replicated correctly
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    Regards,
    Sandesh Sawant

  • Vendor Master Extension in SRM

    Hi,
    I am working on Vendor master table enhancement in SRM 4.0. I have added a new field in the master table using transaction EEWB. The new field is created successfully and can be seen in table BUT000.
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    Hi Christophe,
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    ZZZG01_BUPA_API_DETAIL_ADD
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    ZZZG01_BUPA_API_DETAIL_CHANGE
    are not generated after adding a field in BUPA using 'ADD NEW FIELDS' in TC EEWB.
    The only FMs generated are:
    ZZG00_BUPA_EVENT_DLVE1
    ZZG00_BUPA_EVENT_DSAVB
    ZZG00_BUPA_EVENT_ISDST
    ZZG00_BUPA_EVENT_ISSTA
    ZZG00_BUPA_EVENT_XCHNG
    ZZG00_BUPA_PAI_ZG000100
    ZZG00_BUPA_PBO_ZG000100
    Beside these there are some reports, tables, domains, FG etc created. As I can not find any FM like "*_BUPA_API_DETAIL_ADD" I am not able to populate the newly created field using badi BBP_BUPA_GET_CUF.
    I just want to know why these FMs not generated? Is it caz I am using 'ADD NEW FIELDS' instead of 'ADD NEW TABLE'? I am using FIELDS caz the new field will be maintained in Vendor general data.
    Please throw some light if you can.
    Thanks once again.
    Rahul.

  • Partner roles in Vendor master record

    Hi all
    can some one explain me how to enter the partner roles in vendor master record
    In sap help i didnt understood this point
    "When working with partner roles, you must maintain the following settings:
    Separate vendor master records must exist for all the partners of a vendor that are to be entered in that vendor’s master record."
    what does it mean
    suppose i am creating vendor master record 1234
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    LF 1234       /*vendor
    BA1234       /*ordering address
    i have to click 1234 in BA  and select 'parner' at the top to enter the ordering adress right ...
    what is the 'Separate vendor master records must exist for all the partners' mean
    it has to be like this?
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    BA1235       /*ordering address
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    please help me in this record, any user manual or some screen shots to explain how to maintain partner roles in vendor master record
    regards
    Bhushan.N

    Hi Sasi ,
    What Ramkrishna explained is correct. I will try to illustrate it with the example.
    Suppose you  are creating a vendor 1234 which is Head office of the supplier where you need to place the order. But goods will be supplied from Pune plant so you should enter 1235 againts partner function GS , here 1235 is seperate  vendor master record with Pune plant details & it must exist in the system so that you can use it as a partner function Hope this has cleared your doubts.
    Similarly you vcan create other partner functions like payee,ordering party etc.
    Regards,
    Anand

  • Bank details check during creation of vendor master

    Hi,
    I'm sharing the same vendor account group for local and overseas vendor.
    For overseas vendor , bank details is a requirement field that user has to fill.
    But for local vendor, bank details is optional information.
    How to do this ?
    Thanks,
    Melissa

    Hi,
    Thanks for reply..
    1. To prevent human error, I would like SAP to raise error message when bank details empty for overseas vendor. I don't think we can use solution no.1.
    2. The data is already in production, my project is not an implementation project. So I don't think I can change the account group for the existing data. And I don't think the user will accept to create new vendor code under new account group.
    I'm thinking to use user exit. Do you know any user exit I can use during saving vendor master data ?
    Another thing, just to make sure, can we use validation for this purpose ? as far as I know, validation only applicable for transactional data, not master data. Correct me if I'm wrong.
    Thanks,
    Melissa

  • Payment Terms not copied from Vendor Master to PO

    Hello,
    PO was created for a Vendor and Vendor master has the correct payment terms but they did not get copied to the PO. 
    Thanks
    Megha

    Hi Megha,
    Did you maintain the payment terms in the Purchasing area of the vendor?
    SAP says
    Master records have separate areas for Financial Accounting, Sales, and Purchasing. You can specify different terms of payment keys in each of these areas. When you then enter a business transaction, the application in question will use the key specified in its area of the master record.
    Thanks
    Aravind

  • Vendor Master Payment Terms and Reconcillation account

    Pls tell me In SPRO where Payment Terms and Reconcillation account's are maintained for Vendormaster

    HI Vinay,
    Your question isn't clear. You want to define Payment terms and Reconciliation account for Vendor Master record ?
    If this is correct then go through the below path for payment terms & Reconciliation Account.
    MAINTAIN TERMS OF PAYMENT:
    SPRO –> REF IMG –> Financial Accounting –> Accounts Receivable and Accounts Payable –> Business Transactions –> Incoming invoices/Credit memos –> Maintain terms of payment (or) OBB8
    RECONCILIATION ACCOUNT
    Accounting –> Financial Accounting –> General Ledger –> Master Records   –> Individual processing –> Centrally (or) FS00
    Enter G/L Account No. – XXXXXX
    Company Code – AAAA and select CREATE   button. 
    Under Type/Description tab
    Account Group – LIABILITIES
    • Balance sheet
    Short text – A/P (or) SUNDRY CREDITORS A/C
    G/L acct long text – A/P A/C
    Under Control data tab
    Account currency – INR
    Reconciliation account for A/C type – Vendors
    Under Create/bank/interest tab
    Field status group – G067 and SAVE.
    Rams.N
    If this is helpful, assign me points

  • Bank details in Vendor master

    Dear Experts ,
    I want to maintain the bank details of a vendor in its masters . Kindly tell me if it is correct to maintain "Vendor Bank account details " in Vendor master: payment Transaction tab ?
    Regards ,
    anis

    Hello Jurgen ,
    We donot have the data migration at our place . 
    My client wants to maintain the bank details of the vendor along with the MICR code.
    This is purely for reporting purpose .
    Kindly let me know if Payment transaction is the correct place to still do it ?
    Also where do i maintain the MICR code of the bank ?
    Regards
    Anis

  • Vendor Master Mass Change using E-catt

    Dear Gurus,
    We have almost 5000 Vendor Master records, now we need correct all FAX NUMBER field for all vendor, using E-catt functionally, can you please help, i havent explore to Ecatt.
    Thanks in Advance
    Regards
    RS

    Hi RS,
             Sure !!! you can change the FAX no of the respective 5000 Vendors by running ECATT variant Files in your system.
    First of all select out the variant file,which is maintaing the Vendor Master of your company.
    Out of the same,select the appropriate field FAX_NUMBER for maintaining the fax no & change all the nos & re-run the ECATT File in the system.
    JP

  • Update withholding tax records post change in vendor master recepient type

    Dear All,
    We have created a company ( recepient type CO) vendor wrongly with recepient type defined as OT- Others. The invoices were posted, TDS deducted and paid by selecting proper tax code / rate for corporate and not for others.
    However as the vendor master record has the recepient type as OT - the same is updated in the with_item table for all the TDS entries in documents posted for the vendor.
    We want to change the recepient type to Company - CO to correct the error in the vendor master record. However when we change the same to CO, the existing line items in with_item table are not updated for recepient type. Thus the open invoices are classified under recepient type OT - others even after change in vendor master. This is affecting our payment of TDS.
    Kindly guide how to update the records already posted in SAP to change the recepient type.
    Regards,
    SAP_2009

    Any inputs?

  • Automatic Payment Program / Vendor Master Bank Details

    Hi All,
    in Vendor Master we have bank details section.for the vendor to be picked in APP, There the bank should be maintained, which is maintained in FBZP. Please correct me if I am wrong.
    Does the Payment Method have any role to play here?I mean if the payment method is Q(cheques) , is it not needed to maintain  the bank details in Vendor Master?
    Regards
    Rudra

    Hi Rudra,
    your Question:-
    in Vendor Master we have bank details section.for the vendor to be picked in APP, There the bank should be maintained, which is maintained in FBZP. Please correct me if I am wrong.
    In FBZP, we maintain the Bank Accounts which we own and in vendor master we enter the Bank Account No.'s held by the vendors with their banks and this has got nothing to do with House banks that we maintain in FBZP. In some of the cases, the bank key may play a common role.. but this also depends upon bank key, its usage, design etc..
    Does the Payment Method have any role to play here?I mean if the payment method is Q(cheques) , is it not needed to maintain the bank details in Vendor Master?
    In FBZP, go to Pmt methods in a country.. There you will find a section which says, "Required Master Record Specifications". In configuration, you define for a Payment method, what the system should check, so if you have specified against a Pmt Method, that Bank Details>Account Number Required is a mandatory field, then system will check otherwise not. Usually, in case of Checks, we do not tick this as Vendor Bank Account No. has no relevance in case of check payment.
    Regards,
    SAPFICO

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