Vendor payment through APP with other than my bank currency

Hi
I have one question: I have to make payment in USD to vendor, but my bank currency is EUR. How to do it from Automated Payment Program.
Pls. provide with configuration in APP + Vendor Master also.
Regards,
Vadiraj

Hi,
Check the steps you follow in FBZP,
with local currency also assign the other currency also.
In payment method in country enter currency allowed list
In payment method in Company code  click on Foreign currency allowed
Regards,
Shayam

Similar Messages

  • Vendor payment through app

    hi
    sap gurus,
    my client requirement relating to APP.
    vendor name : Mr  X , invoice no - 1 , invoice  value - 100000 inr
    invoice booked for vendor : Mr - X   in f-43
    client requested to pay  third party   - Mr y through app (check)
    with the help of alternative payee  i can pay payment  -  Mr Y  - 100000 inr  for invoice n0 -1
    but my client want pay  same  invoice  no -1 rs (100000 ) two parts like below  in single app run - F110
          Mr X    - 70000 inr
          Mr Y   - 30000 inr
    if its possible what is the configuration required . please help to sloe client requirement  .
    i am waiting for answers asap

    Hi,
    Check the steps you follow in FBZP,
    with local currency also assign the other currency also.
    In payment method in country enter currency allowed list
    In payment method in Company code  click on Foreign currency allowed
    Regards,
    Shayam

  • Payment through app

    hello  friends
    i have a doubt that how to make partial payment through app
    and if some amount of invoice value paid manually and then rest of amount trying by app its taking the hole invoice vale in app
    how to solve this please help me
    thanks

    Hi...
    The steps required to do partial payment in APP is as below.
    1. Create new payment term in OBB8
    2. Double click on the payment term : There is an indicator which says Installment payment :Indicator that the invoiced amount is to be broken down into partial amounts with different due dates.
    With this you can set the percentage of cash discount and no of days.
    The only way of making partial payment of an invoice is to have payment terms with installment. F110 will always pay for the open item entirely.
    So when you run the APP , you can pay the partial amount.
    Also follow in case if you not get....
    Re: Partial Payment in APP
    I hope you  will get some idea...
    Regards
    vamsi

  • How to clear the Residual & partial payment through app

    Hi Experts,
    How to clear the Residual and partial payment through app in accounts payable i tried but i am not getting the out put so plz clarify the my question and any other configuration for that give answer with example...
    Thanks for advance
    Regards,
    Nivas99

    Hi Nivas,
    Partial payment is possible throw app but not possible residual payment.
    Partial payment u create a payment request p as a special indication u can try.
    I hope this is help full u.
    regards,
    venkatesh

  • How to do Customer Partial payment through APP

    Dear Experts
    How to Customer partial Payment Through APP
    Regards
    Ajeesh.s

    Dear Expert
    My query was about Part payment process about customer , In AP there is a process for doing part payment in Vendor  Same kind of a process am looking for Customer too
    PARTIAL PAYMENT FOR APP PROCESS
    Some time we face the issue in which client want to pay partial invoice only that to via automatic
    Payment program, so in order to make it feasible what all steps will be required from configuration point of view has been explained below.
    Configuration steps:
    1) Maintain Account Configuration TCODE: FBKP Select the Sp.G/L-P
    2) Maintain Payment Program: TCODE: FBZP
    Path: SPRO - Financial Accounting - Accounts Receivable and Accounts Payable - Business Transactions - Outgoing Payments - Automatic Outgoing Payments - Payment Method/Bank Selection for Payment Program - Set Up All Company Codes for Payment Transactions
    Go to “ALL COMPANY CODES” screen maintain the Sp. G/L – P in the field Sp. G/L transactions to be paid.
    3) Post Vendor Invoice and Block for Payment TCODE: FB60 / F-43
    Path: Easy Access – Accounting - Financial Accounting - Accounts Payable - Document entry - FB60 – Invoice / F-43 - Invoice – general
    Example you made invoice for 25000
    4) F-59 - Payment request: TCODE: F-59
    Path: Easy Access – Accounting - Financial Accounting - Accounts Payable - Document entry - F-59 - Payment request
    Here you would like to pay only 20000 out of 25000 so change the amount to 20k and save it
    5) Payment Run TCODE: F110
    Path: Easy Access – Accounting - Financial Accounting - Accounts Payable - Periodic Processing - F110 – Payments
    6) Vendor balances after F110 TCODE: FBL1N (After processing you can check the clear amount here)

  • DOWN PAYMENT THROUGH APP

    Hi
    Is it possible to pay down payment through APP, because when I am trying  I am getting error in edit proposal,
    Please provide me steps
    I will assign points
    Thanks
    Radha

    Hi Radha,
    It is possible to make down payments in APP.  The steps are as follows:
    In the Tcode FBZP, click the first button, ie., All company codes and double click your company code.
    In the special GL Transactions to be paid for vendors field, you need to Give "F" (Down payment request) as the input.
    Now before running APP, you need to post a down payment request to the respective vendor in the TCode F-47 (Dont forget to give the special GL indicator F while posting Down payment request).
    Now if you run APP in the TCode F110,  you notice that the down payment is made to the vendor automatically.
    Hope this answer helps you.  Please assign points if found useful.
    Regards,
    Sreekanth....

  • Part payment through app

    Dear gurus,
    Can we make part payment through APP?
    Please tell me the procedure.
    Thanks in advance
    N.M.B

    Hi!
    You can use requests for payment.
    Description
    It is possible to enter requests for payment for customer or vendor invoices. Here the invoice can also be parked.
    A request for payment triggers a payment by the payment program. It is thus possible to pay parked invoices punctually and without losing cash discount even if posting the invoice is done later. For invoices already posted, requests for payment provide the option of a partial payment. To do this, the invoice is blocked for payment and a payment request is entered for the required partial amount.
    Storing a request for payment is done in a similar way to a down payment request as a noted item. That is, no transaction figures or other totals are updated.
    Best regards,
    Reiner Kastner

  • Clearing vendor payment by app after adjust his dues to be recd.

    Hi Experts
    I have scenario regarding clearing of vendor payment thru app
    I have due amount 5000/- to be paid to a vendor (he is also our customer) and his dues are 2000/- to be received. Can we make payment only 3000/- by adjusting his dues thru app. Please tell me settings. After makings settings like "clear vendor" in customer master and clear customer in vendor master while app steps i am not getting message like schedule payment run generated.
    Thanks and Regards
    Bhaskar

    Damn, just ignore my replies
    Vj

  • I share icloud apps with other ipads.  can i buy my own itunes card and add things i want to my ipad?

    i share icloud apps with other ipads.  can i buy my own itunes card and add things i want to my ipad?

    WoodyK,
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    WoodyK wrote:
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    If this an indication of what I can expect ........then be warned APPLE I am not happy!!!!!!!!!
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  • Personnel payments through APP

    Dear All
    For paying the employee through APP, .i.e Bank Transfer and Cheque, what are the setting I need to make from the FI side. I know that we need to click the allowed for personnel payments. But after doing it if i run it in F110, its saying "NO Accounts have been selected yet". What is that i need to as a FI consultant so that the APP selects the employees in F110.
    Appreciate your quick response.
    Regards
    Rajaram

    I don't believe F110 pays payroll.  If you have replicated employees as VENDORS by using PRAA, F110 can pay those "employee vendor" records.  That's how we pay employees for travel reimbursements or other type of reimbursements but not PAYROLL.  You can check with your HR experts, but they use different tcodes to run payroll.  I'm not sure if they can use the payment medium workbench.  At our organization, they (payroll) uses RFFOUS_T to do ppd ach.  Yes F110 can also access RFFOUS_T, but so does whatever tcode HR uses to run payroll.

  • Vendor payment through FBCJ

    Hi Experts,
    Can anybody tell me,why the list of open items are not displaying while making a vendor or customer payment through FBCJ ? Where as, the list is coming up in f-53 and f-28. Any particular reason behind this ? Please guide, If we can make some settings to get it displayed in FBCJ.
    Regards
    Partha Sarathi Samantaray

    Dear Partha
    There is no standard procedure in SAP. Please go through the reply from SAP market place with reference to above question.
    1. Clearing function of open items (with vendor and customer postings)
    is not provided.
    This refers to both the clearing of a customer or vendor posting when
    there is a reversal in the cash journal, as well as the general option
    of clearing an existing open item.The second takes place in open item
    management in FI when a new cash journal document is entered.
    This is as per the system design as the person in charge of cash journal does not normally know anything about existing invoices and receivables,nor about authorized deductions that should be applied; instead, this
    person simply receives payments and makes payments to authorized
    persons. In this scenario, the open items are then cleared in Accounts
    Payable and Accounts Receivable.
    If the cashier in a position to be able to perform the clearing, then
    he or she can enter the corresponding invoice number in the reference
    field.
    After that, the automatic clearing program (Report SAPF124) can be
    started, using a rule that links the invoice number with the reference
    number.
    SAP development
    is considering making a simple clearing possible when a vendor or customer posting is made. To make this possible owever, the Accounting Interface would have to be expanded and there is no plan for such enhance. Kindly consider my above explanation of carrying the clearing with automatic clearing program.
    Regards
    Bhanu Prakash

  • Vendor payment through bank transfer

    Hi,
    Is there any way of doing bank transfer using a manual transaction (i.e.other than F110) ? My customer wants to do the vendor payment by bank transfer similar to the cheque payment which we do through F-53 & F-58.
    Regards,
    Krishna A S V

    Bank Transfer involves the payment file to be sent to bank for the payment. So F110 generates the same.
    You can create the payment via F-53, but to send the information to bank you need to develop a program to generate the payment file. Otherwise you will need to enter that payment manually in the bank site.
    But I still believe that F110 is the best way to make bank transfer payments.
    Regards,
    SDNer

  • F-28 Post incoming payment through BAPI with Clearing

    Hi Gurus
    I have a requirement to post Customer incoming payment through BAPI, I have seen some post where using
    BAPI_ACC_DOCUMENT_POST , we can post on account and later using f-32 we can clear. but there s some limitation doing that.
    In f-28 residual line items also got generated for short or excess payment. There is a problem for residual item posting also.
    If  residual amount belongs to more than one Profit Center then GL currency view and Local Currency view is also mismatching.
    Is is possible to clear customer line item also at the time of posting through BAPI.
    If any one implemented BAPI or any automatic process to post F-28 please share your experience and challenges.
    Thanks in advance
    Subrata Sarkar

    Hi
    There could be multiple approaches to this depending on what you want to achieve. If you just want to uplaod the documents, than the BAPI you mentioned could be the right approach. If however, you have fixed criterion for cash application for open items, you can probably look at a BDC to do the clearing.Once the BDC is recorded work with your ABAP colleague to write this up in a custom transaction. This is particualrly useful if you have more items to clear against an incoming payment.
    regards
    Sanil Bhandari

  • Vendor Payment documents print with Bank details(Bank name) in FBZ5

    Dear All,
    Here one of my client requirement is when we take printout using t.code FBZ5 for vendor payment documents, he wants to take print along with his Bank name (Name of the Bank and Name of the person), How can I generate check print after entering Bank details in Master data (Require Only for few vendors).
    To track print details we are  using standard t.code FBZ5, If I want update Bank details in print shall I maintain any settings before  using FBZ5?
    Kindly advice me....!
    Thanks & Regards
    Madhusudhan.B

    Closed

  • Outgoing\Vendor Payment through Check

    Hi All,
    I am trying to create Outgoing payment\Vendor payment, can any provide me the code for the same, like what are the things need to me set to create Outgoing payment like check account\cash account.
    What would be code when we try to create check payment for more than one invoice in the single document.
    Thanks & Regards,
    Naresh
    Edited by: naresh2684 on Dec 5, 2010 5:43 AM

    This is taken directly from the helpfile, incoming payment example but you only need to tweak the code a bit to make it for an outgoing.
    Private Sub cmdTest_Click()
       On Error GoTo ErrorHandler
       Dim vCompany As SAPbobsCOM.Company
       'create company object
       Set vCompany = New SAPbobsCOM.Company
       'set paras for connection
       vCompany.CompanyDB = "SBODemo_US"
       vCompany.Password = "manager"
       vCompany.UserName = "manager"
       vCompany.Server = "(local)"
       'connect to database server
       If (0 <> vCompany.Connect()) Then
          MsgBox "Failed to connect"
          Exit Sub
       End If
       Dim nErr As Long
       Dim errMsg As String
       'do it now
       Dim vPay As SAPbobsCOM.Payments
       Set vPay = vCompany.GetBusinessObject(oIncomingPayments)
       vPay.Address = "622-7"
       vPay.ApplyVAT = 1
       vPay.CardCode = "D10006"
       vPay.CardName = "Card D10004"
       vPay.CashAccount = "288000"
       vPay.CashSum = 0
       'vPay.CheckAccount = "280001"
       vPay.ContactPersonCode = 1
       vPay.DocCurrency = "Eur"
       vPay.DocDate = Now
       vPay.DocRate = 0
       vPay.DocTypte = 0
       vPay.HandWritten = 0
       vPay.JournalRemarks = "Incoming - D10004"
       vPay.LocalCurrency = tYES
       vPay.Printed = 0
       vPay.Reference1 = 8
       vPay.Series = 0
       vPay.SplitTransaction = 0
       vPay.TaxDate = Now
       vPay.TransferAccount = "10100"
       vPay.TransferDate = Now
       vPay.TransferSum = 5031.2
       If (vPay.Add() <> 0) Then
           MsgBox ("Failed to add a payment")
       End If
       'Check Error
       Call vCompany.GetLastError(nErr, errMsg)
       If (0 <> nErr) Then
           MsgBox ("Found error:" + Str(nErr) + "," + errMsg)
       Else
           MsgBox ("Succeed in payment.add")
       End If
       'disconnect the company object, and release resource
       Call vCompany.Disconnect
       Set vCompany = Nothing
       Exit Sub
    ErrorHandler:
       MsgBox ("Exception:" + Err.Description)
    End Sub
    To add multiple invoices, before adding the document do:
    vPay.Invoices.InvoiceType =  = it_PurchaseInvoice
    vPay.Invoices.SumSpllied = 400
    vPay.DocEntry = 1
    vPay.Invoices.Add()
    'Repeat above as neecesary.
    There are lots of posts on the forum that cover this topic too.

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