Vendor payment having two bank accounts in same branch, through APP

Hi,
I want to make payments to a particular vendor who has two bank accounts in the same branch.
Also his invoice says to pay 40% to one account and 60% of invoice amount to other account
How should i move forward especially when making payments through APP.
Kindly help.
Regards,
Parin Vadodaria

thanks,
It is allowing me to put the partner bank type in FBL1N but my query is:
If two line items generated during FB60 it should allow me to assign different Partner Bank for different line items on the screen of FB60....
Is that possible?
Thanking You,
Parin

Similar Messages

  • Vendor account with two bank accounts -payment

    Hi
    For the vendor account we have two bank accounts .When a invoice is raised through MIRO ,we want the 50% payment to be made through First bank account and the rest payment to the Second bank account.The vendor has two bank accounts and wants 50-50% payment on a single invoice to be paid to two different bak accounts.
    How can this be configured and at the payment time in APP how will the system pay to two different bank accounts.
    Please advice.Please let me know if i need to provide any further details.

    Hello dear,
    The only solution in SAP standard for vendor bank account selection during payment program, when you have created partner bank types.
    Then, if you want to post to a different bank account then you need give the partner bank type in the invoice, then, the different bank account will come ( we can make partner bank type field as mandatory in the field status group).
    For choosing the vendor's bank account, you have to use the field 'Partner bank type' (BVTYP). It is present in vendor's master data (LFBK) as the print. screen shows it above, and in the document line items (bseg-bvtyp).
    Remark: We should use a substitution (with user exit) for filling this field automatically according to your own rule.
    Also, to define that it should be 50% to the first bank and 50% to the second bank, than you need an ABAP'er for this
    I hope that could answer your question.
    Thanks.

  • Vendor with two bank account

    Our vendor wants to have two bank accounts and make some payments going to other accounts
    We had added two bank accounts to vendor master data in payment transaction tab (general data)
    while running payment run, its picking up always first account. Is there any work around.

    hi,
    when you create the bank accounts in the vendor master, there is a field in each line, called BankType. Just enter there some values (like 1 and 2). Than when you post the vendor invoice, you can whould have the same field (you have to turn it on through field status) and you can enter the value from the vendor master. Than the payment program will pick up the right account. (if it is not filled through invoice posting, it will always pick up the first bank account from the list)
    hope this help
    ec

  • Automatic Payment Run - Alternate Bank Account in Vendor Master

    Dear Forum,
    We have a situation where the users want the alternate bank accounts to be maintained in the Vendor Masters and also to select this alternate bank account while doing the automatic payment run thru F110. While we can maintain more than one bank account in the Vendor Master, but how to select the alternate one during payment run. Your help would be highly appreciated.
    Regards

    Hi...
    As per your issue while runing APP in F110 once complete parameters
    And go to Edit praposal and double click vendor and double click on line items than it will displays the one more screen there select Reallocate button there you can enter your respective bank details.
    Otherwise there is a Business Transaction Event 1810. You can see the code, looks like you  need to replicate the vendor bank details with link to a company code.
    Note:
    Assign Multiple Bank Accounts in the Vendor Master
    Your SAP system provides the functionality to store and use
    information from multiple vendor bank accounts in the Payment
    transactions screen of the vendor master general data via
    transaction FK03 (Figure 1). Figure 1 reflects the bank type
    determination logic I used in the vendor master, using the
    three-digit International Organization for Standardization (ISO)
    currency code as the Bank type.
    Figure 1 Bank details vendor master
    You can use the BnkT (bank type) field in the vendor master to
    enter text differentiators for identifying the vendoru2019s bank
    accounts. If you leave the bank type field blank against a bank
    account in the vendor master, then it serves as the default bank
    if the bank type information is missing in the vendor invoice.
    You may want to leave this field blank if the vendor has only
    one bank account and you want the system to select that bank
    account for all payments.
    If the bank type is blank for multiple bank accounts, then the
    system looks for the first bank account with the blank bank type
    in the vendor master to use as the default. You are not required
    to define the text values u2014 in my example, INR, SGD, and USD u2014
    elsewhere in your SAP system. The field allows any value up to a
    length of four characters. Iu2019ll demonstrate the use of bank type
    with vendor invoice later on.
    The system performs a check at the time of invoice creation on
    the bank type value used in the vendor invoice against the bank
    type values used in the vendor master. If you have not defined
    the bank type value in the vendor master prior to using it in
    the vendor invoice, the system shows an error message. The
    system performs the check to ensure that you are using a bank
    type value in the vendor invoice against which it can find a
    bank account in the vendor master. Otherwise, the system cannot
    determine a bank account for making payments to the vendor.
    Prerequisites for Vendor Bank Selection
    You need to take care of a few configuration prerequisites before
    you can use vendor bank selection in the automated payment
    functionality.
    1. Check the Bank details check box in the payment method as
    defined at the country level in transaction FBZP. This ensures
    the selection of the bank details from the vendor master at the
    time of the automatic payment run. If you donu2019t do this, the
    system does not copy the bank details into the payment IDoc that
    it creates as a result of the automated payment run (transaction
    F110).
    2. Make the Bank Business Partners field optional in the field
    status group attached to the vendoru2019s reconciliation G/L account
    by selecting the button under Opt. Entry for this field. This
    field maps to the Part.bank type (partner bank type) field in
    the vendor invoice. If the Bank Business Partners field is not
    optional and is in a suppressed state, then you cannot input the
    partner bank type field in the vendor invoice.
    I hope it will helps you....
    Regards
    vamsi

  • Two reconciliation account for same one time vendor

    Is it possible to have two reconciliation account for same one time vendor?

    Hi
    1.Two reconciliation account for same one time vendor IS NOT POSSIBLE.
    2.create 2 vendor master for the same ONE TIME VENDOR and maintain the recon account accordingly
    3.Multiple recon a/c can be assigned to a vendor only thru spl g/l indicators but if u go thru this way then we cant use the purchase flow of PO-MIGO-MIRO . Vendor invoice can be passed only thru fb60 using spl gl indicators. Spl gl indicators cannot be used in MIRO.
    Check which will help u
    Thx
    Raja

  • System not allowing to select two bank accounts for the Edit proposal F110

    Hi
    I have created one house bank and two bank accounts with two seperate check lots.
    I have assigned two varianats with seperate check lots in the payment medium tab in F110.
    I posted one payment run with one accout. when i am trying payment run for two accounts,in the Edit proposal reallocate tab I tried to assign two accounts for two invoices each one, but system is not allowing to assingn the 2nd bank account in the Vendor invoice. I assign this bak account in the Vedor master also. Please help
    Prabha

    Hi,
    If you are trying to post for a single payment method to different account id's for the same currency, then system wont allow this combination.
    You need to check the same in FBZP under Bank determination.
    Make sure, if payment method is same and you need to post to different account ids then the second account id must have a different currency.
    This is a basic requirement from SAP side.
    Check the same
    Regards
    srikanth

  • 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.
    How do we address this issue?
    Kindly guide.
    Regards
    James

    Hi,
    Two options without any enhancement:-
    1. Use "Partner Bank Type" in Vendor Master's Payment Transaction View where you maintain vendor bank account. Each of the bank account should be assigned to unique Partner Bank Type
    - Based on this setup, at time of invoice posting, user could choose which vendor bank type  and base on the selection, the selected bank will be selected upon payment.
    - You could also explore the option of using substitution to substitute the partner bank type upon posting if the same cocd always using the same vendor bank
    2. A much simpler option, upon payment proposal - user actually could select which vendor bank they wanted to use if you've multiple vendor in the vendor master.
    Thanks,
    Ong Yang

  • System not allowing to select two bank accounts for the proposal documents

    Hi
    I have created one house bank and two bank accounts with two seperate check lots.
    I have assigned two varianats with seperate check lots in the payment medium tab  in F110.
    I posted one payment run with one accout. when i am trying payment run for two accounts,in the  Edit proposal  reallocate tab I tried to assign two accounts for  two invoices each one, but system is not allowing to assingn the 2nd bank account in the Vendor invoice. I assign this bak account in the Vedor master also. Please help
    Prabha

    Hi
    I have created one house bank and two bank accounts with two seperate check lots.
    I have assigned two varianats with seperate check lots in the payment medium tab in F110.
    I posted one payment run with one accout. when i am trying payment run for two accounts,in the Edit proposal reallocate tab I tried to assign two accounts for two invoices each one, but system is not allowing to assingn the 2nd bank account in the Vendor invoice. I assign this bak account in the Vedor master also. Please help
    Prabha

  • Clearing a open item with two bank accounts at a time

    anybody answer the below question please
    how can clear the vendor line item using two bank accounts at a time

    hi Samala,
    you can do it manually in F-53, enter a bank account with amount, than enter vendor number, and click to select open items. Here don't select any open item, but click on Overview. Now you should see the item with the bank account you already entered, on the bottom of the screen you can enter a new line now, with another bank account, when it is done, you can click on process open items again, select, simulate, post, ...
    hope this helps
    ec

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  • Vendor payment for different currency go to same account

    Hi,
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    so how to solve the problem, how can we differentaite?

    Hi
    maybe you could try to write a substituion: 1. save the bank details on the vendor master with the currency key 2. write substitution - on invoice, the bank details = the currency of the document.
    For filling it automatically, you should have either a substitution rule either a mass change program which should change the line items before running the payment program. In both cases you need some abap code for checking that the bank type exists in the supplier's master data.
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