Version 4.6c Intercompany Incoming Payment

Co. code 0980 does not have a house bank.
All banking occurs on Co. Code 2100's house bank.
An 0980 cusomer sends in a payment.  We attempt to process incoming payment via t-code FF68.  We get an error because the customer # is not on Co. Code 2100 configuraiton. 
How di I set up an incoming payment from a 0980 customer when company code 2100 receives the payment.  I already have OBYA set up between company codes 0980 & 2100.  What other configuration am I missing to allow this intercompany posting?

I figured out that once the OBYA intercompany accuonts were set up in order to process an incoming check with t-code F-28 one had to set up the Customer Account number in both company codes.  Then on F-28 in the upper section of the t-code you entered the housebank information from company code 2100.  Thenin the select open item box at the bottom you leave it blank.  On the popup screen slecet Document, then on the next screen you change the company code in the select open item box to 0980 and enter the Customer Account number that is the same for both company codes.  Then you can select the invoice documents from company code 0980 that are to be matched with the incoming check.

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