What is principle difference between 'payment run' & 'payment lot'

Hello
what is principle difference between 'payment run' & 'payment lot' ?
by 'payment run'  I understand all incoming payments and outgoing credits are settled
but doesn't payment lot also do that.
Thanks

Anshoo,
Payment Lot = Records Payments made in bulk.
Payment run = Too records Payments made in bulk
Difference
Payment lot = Usually u receive file from bank and post the items as a Lot <inbound file>
Payment run = U generate Payment run and send the file to the bank <outbound>
For Payment lot = Customer need not be on Direct Debit
For Payment run = Customer has to be on Direct Debit
For Payment lot = Payment can be thru chq/cash/cr card and Payment on account too can be posted
For Payment run = Payment is made only when the Customer is on DD  and you cannot make payment unless there is either Open Invoice or BB line item
Hope this clears
Rgds
Rajendra

Similar Messages

  • What is the difference between "viewable/ printable payment history" and my "payments received history"? Shouldn't my "payments received" (money verizon got from me) be my "payment history"be my

    What is the difference between "viewable/ printable payment history" and my "payments received history"? Shouldn't my "payments received" (money verizon got from me) be my "payment history"?

    I have not directly myself. One of the reps put me on hold while they said they spoke to finical services. He said they would not turn off my phone while he (the rep) looked into the problem. He couldn't give me a phone # to call him back the next day and told me he would call me instead on my home land line phone #. But what I got the next day was a text message that started with" DO NOT RESPOND" to this text message and it said that I was past due on my account, and that it was due immediately. signed out again with only his first name and no phone # again. Thing is he promised he could help in my first conversation with him, where I had started with "can I speak with a supervisor as I did not want to have to repeat the whole spiel again as he was going to be my third time". He said he was authorized to take care of all & any problems and I did not need a supervisor. I took him at his word and said OK. Turns out like I said earlier…I wasted 2 hours on the phone. Can't find him as I don't know what call center and no last name. I should have gotten that up info front. Hindsight is 20/20.

  • What is the difference between organisation payment method and Assignment payment method?

    What is the difference between organisation payment method and Assignment payment method?
    As i am a new bie, i am curious to know this though it might sound a silly question.
    Thank you,
    Kuton

    You can create an Organization payment method of any Payment type(Cash, Check, BACS, NACHA etc) under the same country.
    All these will be valid payment methods on the payroll description form.
    And you can even attach these to a person.
    In which case you will have a Base currency (say USD) and payment currency (say GBP).
    These cases are not normal and only used by people who use a single BG for paying employees in 3-4 countries.
    So, unless you need to pay in different currencies, do not use it.
    Cheers,
    Vignesh

  • What is the difference between start() and run()

    Hi:
    what is the difference between start() and the run()???
    in my app, i have
    Console.debug( "starting thread to listen for clients" );
    _server = new Server( this );
    _server.start();
    _server extends Thread..
    why everytime i use server.start(); my app will terminate on it is own, even though in my servr.run() method, i have a while loop
    and if i call _server.run() explicitly in my code, that while loop will be in execution
    can someone let me know??
    thnx

    what is the difference between start() and the
    run()???start() is a method on Thread that tells it to start.
    run() is a method in the object that the thread executes.
    why everytime i use _server.start(); my app will
    terminate on it is own, Err.... I'm not convinced this is true. It'll throw an IllegalThreadStateException, if you try to restart an existing thread.
    If that's what you're saying.
    even though in my _servr.run()
    method, i have a while loopI don't see the connection. Are you saying that the while loop never terminates, and you don't see why the thread is terminating?
    and if i call _server.run() explicitly in my code,
    that while loop will be in executionIf you call server.run() explicitly, then run() will be executed in the same thread that you called it in.

  • Hi gurus what is the difference between EDI & ALE.

    hi gurus what is the difference between EDI & ALE.

    HI,
    EDI is a technique used to communicate business and information transactions between computer systems of different companies and organizations. These transactions include such documents as purchase orders, invoices, inquiries, planning, acknowledgements, pricing, order status, scheduling, test results, shipping and receiving, payments, and financial reporting
    EDI Introduction
    The EDI interface is intended to connect an EDI subsystem with the SAP system. EDI subsystems perform the following tasks related to EDI processing:
    1·Conversion of data·
    2.Message and Interchange Handling.
    3.Communication·
    4.Administration of partner profiles·
    5.Monitoring of processing
    From the SAP side, the EDI interface is based on IDoc technology, which is independent of EDI standards. All data is transferred in files between the R/3 System and the EDI subsystem. Synchronous RFC (Remote Function Call) is implemented to define the time of transfer for a file between the two systems.
    EDI u2013 Benefits
    Improves data accuracy u2013
    With EDI business can eliminate the need to re-enter data from paper documents and thus prevent potential data entry errors. Additionally, the cost of processing an electronic requisition is estimated to be one-tenth the cost of handling its paper equivalent
    Lowers personnel costs-
    EDI can help companies reduce the need for personnel involved in orders and accounting processing. Speeds up information exchange- EDI systems can shorten the lead time between receipt and fulfillment  of orders. When  scheduling information is transmitted with ordering  data, companies can plan production more accurately and thus reduce stock investments.
    Reduces technical complexity related to data interchange u2013
    With EDI companies use standardized data formats to exchange documents. EDI allows companies using different business applications and systems to achieve computer-to-computer electronic exchange of business documents.
    Application Link Enabling
    ALE Objectives u2013 ALE incorporates controlled exchange of data messages ensuring data consistency across loosely coupled applications. ALE comprises of three layers.  Application Services  Distribution Services  Communication Services
    Basic principle of ALE is to provide a distributed and fully integrated R/3 system. Each application is self-sufficient. The use of self-sufficient system implies a certain measure of data redundancy.Hence data has to be both distributed and synchronized.
    General Steps Involved in Configuring EDI u2013 ALE Interface
    - Maintaining the Condition Table
    - Maintaining the Access Sequences
    - Maintaining the Output types
    - Assign output types to the partner functions
    - Maintain output determination procedure
    - Assign output determination Procedures

  • When to use Infotype 0014 & 0015? what is the differences between them?

    When to use Infotype 0014 & 0015? what is the differences between them?

    Hello
    Infotype 14 is used for recuring payment and deductions
    The wagetype to be used for IT0014 is maintained in VV_52D7_B_0014_AL0 ,against the country grouping.
    IT0014 is always entered with a start date and end date along with the wagetype and amount /unit relevent for payment/deduction
    Say you want to make a special allowance payment to some employee for a period of 6 months only.
    So in IT0014,you will enter the wagetype that is maintained for special allowance  with a start date of say 01.10.2011 to 31.03.2012 with amont as Rs.1000.
    So when you run payroll for the period october 2011 until march 2012,this amount of Rs.1000 will be paid to the employee
    Infotype 15 is used for one time payment or deductions.
    The wagetype to be used for IT0015 is maintained in VV_52D7_B_0015_AL0,against the country grouping
    IT0015 is always entered with an effective date along with the wagetype and amount/unit relevent for payment deduction.
    You want to make performance award pay to employees in the month of march 2012.
    You will enter the amount in IT0015 with the effective date as 31.03.2012 for the wagetype as maintained for performance award ,amount say rs.50000.This amount will be caluclated and paid to the employee as a one time payment in march 2012 payroll
    Thanks and Kind Regards
    Ramana

  • What is the difference between FBCJC1 and FBN1

    Hi,
    I would like to know what is the difference between maintaining number range in FBCJC1 and FBN1.
    When I maintained the number range under FBCJC1, it doesnt work. Only when I maintained under FBN1, then posting went through.
    When i post a receipt via FBCJ, and when i view the document, it debit and credit both my petty cash acct. Is the entry correct ?
    If i post a payments (link to a expense acct), will the entry be debit expense and credit petty cash acct ?
    What is the impact on the cash journals entries in FI for the respective GL accts ?
    Thanks.
    Angel.

    Hi,
    I have tried to give aswers to your queries.
    I would like to know what is the difference between maintaining number range in FBCJC1 and FBN1.
    The Cash journal document number range & FI document number range are different. We will have to maintain both number ranges.
    When i post a receipt via FBCJ, and when i view the document, it debit and credit both my petty cash acct. Is the entry correct ?
    No, You will have to credit your income account head against which you are receiving the income
    If i post a payments (link to a expense acct), will the entry be debit expense and credit petty cash acct ?
    Yes
    What is the impact on the cash journals entries in FI for the respective GL accts ?
    Depending on the accounts which are selected in the Business Transaction, the entries will be passed in FI with corresponding effect in the Cash GL Account.
    If you require any more clarification please let me know.
    Regards,
    Amit

  • What is the difference between variable and Define

    WHAT IS THE DIFFERENCE BETWEEN
    these different declarations when it is done using the keyword "variable" and "define"
    and both of these are done OUTSIDE "DECLARE"
    VARIABLE g_monthly_sal NUMBER
    DEFINE p_annual_sal =5000
    -- I understand that p_annual_sal will be taken as a CHAR.
    -- ALSO IF DEFINE variable acts as macro variable, SO is it necessary to give it some value whenever we define it.
    if not what value would be substituted for it?
    OR does that mean whenever we want to specify data type for a bind varible we should use VARIABLE and
    when we do not want to specify type we use DEFINE?
    THANK YOU
    Edited by: user6287828 on Feb 24, 2009 11:03 AM
    Edited by: user6287828 on Feb 24, 2009 11:04 AM

    Both are SQL*plus commands. In a real programming environment you will not use such constructs (except a few rare scripting cases).
    The difference is how the construct is later used. DEFINE is more like a copy&paste string. Whereever the name of this substitution variable is found it will be pasted into the sql*plus session.
    VARIABLE creates a real variable. You can change the value and if follwos the usual principles of variables (including binding).
    Example can be found the docs:
    from the docs
    Where and How to Use Substitution Variables
    You can use substitution variables anywhere in SQL and SQL*Plus commands, except as the first word entered. When SQL*Plus encounters an undefined substitution variable in a command, SQL*Plus prompts you for the value.
    You can enter any string at the prompt, even one containing blanks and punctuation. If the SQL command containing the reference should have quote marks around the variable and you do not include them there, the user must include the quotes when prompted.
    SQL*Plus reads your response from the keyboard, even if you have redirected terminal input or output to a file. If a terminal is not available (if, for example, you run the script in batch mode), SQL*Plus uses the redirected file.
    After you enter a value at the prompt, SQL*Plus lists the line containing the substitution variable twice: once before substituting the value you enter and once after substitution. You can suppress this listing by setting the SET command variable VERIFY to OFF.
    Using Bind Variables
    Bind variables are variables you create in SQL*Plus and then reference in PL/SQL or SQL. If you create a bind variable in SQL*Plus, you can use the variable as you would a declared variable in your PL/SQL subprogram and then access the variable from SQL*Plus. You can use bind variables for such things as storing return codes or debugging your PL/SQL subprograms.
    Because bind variables are recognized by SQL*Plus, you can display their values in SQL*Plus or reference them in PL/SQL subprograms that you run in SQL*Plus.
    Creating Bind Variables
    You create bind variables in SQL*Plus with the VARIABLE command. For example
    VARIABLE ret_val NUMBER
    This command creates a bind variable named ret_val with a datatype of NUMBER. See the VARIABLE command for more information. (To list all bind variables created in a session, type VARIABLE without any arguments.)
    Referencing Bind Variables
    You reference bind variables in PL/SQL by typing a colon (:) followed immediately by the name of the variable. For example
    :ret_val := 1;
    To change this bind variable in SQL*Plus, you must enter a PL/SQL block. For example:
    BEGIN
    :ret_val:=4;
    END;
    /

  • What'z the difference between the Commercial Invoices and

    What'z the difference between the Commercial Invoices and
    Invoices/Excise Invoices? Also I understand that we can combine 2~3
    invoices and can create one commercial invoice? If it is possible, how
    to create the same?
    cheers
    shalsa007....

    Hello,
    A commercial invoice is a bill for the goods from the seller to the buyer. Commercial invoices are utilized by customs officials to determine the value of the goods in order to assess customs duties and taxes.
    In general there is no standard form for a commercial invoice although they tend to contain many of the following features:
    •     seller's contact information
    •     buyer's contact information
    •     consignee's contact information (if it is different from the buyers)
    •     invoice date
    •     a unique invoice number
    •     sales terms (usually in incoterm format)
    •     payment terms
    •     currency of sale
    •     full quantities and description of merchandise (Generally this includes unit price and total price. Product descriptions should be consistent with the buyer's purchase order. Including the Harmonized System commodity codes can be helpful, especially in countries that are WTO members.)
    Excise invoice “Original for Buyer copy”, whether  prices are inclusive or exclusive of excise duty.
    The invoice in which the Excise duties are included.
    As per Indian tax system, Excise duty (16%) is payable by each manufacturing unit on the value of manufactured goods / on the value added. The manufacturing plant is supposed to submit an excise duty report on fortnightly / monthly basis. Various registers (RG1, RG23A, RG23C, PLA) are maintained for that purpose, which record all the transactions including movement of goods, cenvat credit available and cash balance available.
    In SAP, we use transaction j1id for configuration and j1iin, j2i7, j1i5, j2i5, j2i6, j1ip for creating, extracting and printing excise invoice. 
    *Please reward if this helps**
    Regards
    AK

  • What's the difference between 2nd and 3rd generation

    PLEASE HELP! New Apple user and looking to purchase a used 2nd or 3rd generation ipod touch.
    what's the difference between 2nd and 3rd generation?
    apparently I am told that the 2nd gen does not have the capabilities of listening without headphone? and the 3rd gen does??

    Hi maximumslowness - (great name),
    The 2nd gen Touch has one internal speaker, so you can listen to it, (both left and right channels) without headphones.
    However - it's a small single speaker and it is not very loud. It's not designed for quality listening (neither is the speaker on the 3rd gen as far as I know) and probably will not be adequate if there is a lot of background noise nearby.
    One option is to drop the iPod (not literally!) into an iPod Docking station so that the sound can play out through a self-contained mains-powered amplified speaker, which will also charge your iPod. There are many on the market. On the bottom of the iPod is the 30-pin dock connector which can be used to feed the audio to a docking station. Another option is simply to use a cable to connect from the headphone socket to the audio input on any amplifier.
    Yet another is to plug in a small fold-up style speakers, such as
    http://www.amazon.co.uk/Portable-Folding-Speakers-iPods-Players/dp/B000A1QKNU/re f=sr_1_84?ie=UTF8&qid=1332326622&sr=8-84
    or http://www.amazon.co.uk/Generation-Capsule-iPhone-Laptop-Speaker/dp/B002XNO7FQ/r ef=sr_1_6?ie=UTF8&qid=1332326656&sr=8-6
    I've no idea how good the sound is, you'll have to judge that for yourself. The links are both to a UK store, but most countries will have a similar option.
    I do not recieve any form of payment or compensatiion for the above links.
    Message was edited by: the fiend

  • What is the difference between payment_method_code,payment_method_lookup_code  in ap_checks_all table ?

    Hi All,
    Could you explain me what is the difference between payment_method_code & payment_method_lookup_code  in ap_checks_all table.
    Is both the column store same values ?
    Regards,
    Uva

    Hi Prathima,
    In tech lingo:
    Payment_num is the same as AP_INVOICE_PAYMENTS_ALL.payment num.
    Check_number is same as check_number in AP_CHECKS_ALL -> which also has checkrun_name used in payment batch You can get to AP_CHECKS_ALL by using check_id in AP_INVOICE_PAYMENTS_ALL
    Raman.

  • What is the difference between (SEPA Structured) and (SEPA Unstructured)?

    Hi,
    Could you please teach me about "Format Payments (SEPA Structured)"
    and "Format Payments (SEPA Unstructured)"?
    1.What is Format Payments (SEPA Structured)?
    Is (SEPA Structured) used with which case?
    2.What is Format Payments (SEPA Unstructured)?
    Is (SEPA Unstructured) used with which case?
    3.What is the difference between (SEPA Structured) and (SEPA Unstructured)?
    The customer is checking Note.791226.1.
    However, he says that he cannot understand these two differences.
    Please teach me.
    Thanks.

    From the European Payments Council website:
    Remittance information: structure the unstructured
    The SEPA Credit Transfer Scheme permits the end-to-end carrying of remittance data on a structured or unstructured basis appropriate to the nature of the payment (the remittance information usually contains details of the contract underlying the transaction such as an invoice number, for example). The length of the remittance information in the SCT Scheme is fixed at a standard length of 140 characters and banks are obliged to pass on the full remittance information.
    The EPC supports a proposal developed by the European Association of Corporate Treasurers (EACT), which allows companies to agree on a structure for the remittance information. The EACT suggestion on how to structure the "unstructured" remittance fields allows companies exchanging a credit transfer to agree, among other, on information to be transmitted in a specific manner. Banks will carry remittance information structured in such an agreed way unaltered throughout the process chain.

  • What is the difference between Classic and Extended Withholding Tax

    Hi,
    Can some please tell me what is the difference between Classic Withholding and Extended Withholding Tax. How can I look at the Withholding Tax deducted from a particular invoice?
    Number Guaranteed.
    Thanks.

    Dear Prem,
    Withholding tax is the basically a tax withheld during the Vendor payment. So when making the payment to vendor the amount will be deduct (i.e withheld tax)
    from the invoice and paid. The customer is actually the tax to tax authorities.
    you can visit for more info.
    Withholding Tax
    For the config steps you go to the IMG path FI > Financila accounting for the Global settings > Withholding Tax
    Withholding tax configuration is done by FI person.
    Hope this helps you
    Prem

  • What is the difference between Com Addin and Activex control

    When I searched about them individually, both are described as same.
    Could any one please explain what are they and what is the difference between them exactly.
    Thanks and Regards, Uday Kiran Reddy Project Engineer Technology Infrastructure Services, Wipro Technologies ____________________________________________ Mob: +91-900-061-2578 | Email: [email protected]

    Hello,
    Here is what Wikipedia states for ActiveX:
    ActiveX is a software framework created by Microsoft that
    adapts its earlier Component Object Model (COM) and Object
    Linking and Embedding (OLE) technologies for content downloaded from a network, particularly in the context of the World
    Wide Web.<sup class="reference" id="cite_ref-msdn1_1-0" style="line-height:1;font-size:11.19px;font-style:normal;font-weight:normal;">[1]</sup> It
    was introduced in 1996 and is commonly used in its Windows operating system.
    In principle it is not dependent on Microsoft Windows, but in practice, most ActiveX controls require either Microsoft Windows or a Windows emulator. Most also require the client to be running on Intel x86 hardware, because they contain compiled code.<sup
    class="reference" id="cite_ref-2" style="line-height:1;font-size:11.19px;font-style:normal;font-weight:normal;">[2]</sup>
    Many Microsoft Windows applications — including many of those from Microsoft itself, such as Internet
    Explorer, Microsoft Office, Microsoft
    Visual Studio, and Windows Media Player — use ActiveX controls
    to build their feature-set and also encapsulate their own functionality as ActiveX controls which can then be embedded into other applications. Internet Explorer also allows the embedding of ActiveX controls in web
    pages.
    And for COM:
    Component Object Model (COM) is a binary-interface standard
    for software components introduced by Microsoft in
    1993. It is used to enable inter-process communication and dynamic object creation
    in a large range of programming languages. COM is the basis for several other Microsoft technologies and frameworks,
    including OLE, OLE
    Automation, ActiveX, COM+, DCOM,
    the Windows shell, DirectX, UMDF and Windows
    Runtime.
    Office add-in is an assembly which implement the
    IDTExtensibility2  interface (COM).

  • What is the differences between Indian and US Payroll..??

    Dear Friends,
    Please let me know what is the differences between Indian and US Payroll..?? And also please mention points how to configure posting of payroll. i mean how exactly HR consultant interact with FICO team for payments of employees.
    Regards
    Ahmed.

    Ahmed,
    A big difference is probably payroll taxes in the US. In order to configure the system to accumulate the correct taxable wages, you have to configure the tax models. In order to actually compute the taxes, you have to use third party software from BSI (Business Software Inc) that is connected to the system.  BSI must also be configured.
    Some of the taxes are expenses (because they are not deducted from the employees) for the organization and some are liabilities, as they are deducted from the employee. The users will be able to tell you how to account for each type of tax.
    Regards,
    Howard

Maybe you are looking for

  • Problem with flashing screen in clamshell mode

    Running Mac Book Pro with 32" Samsung TV DVI / HDMI connection It was working okay for months. I dont recall doing anything or connecting anything that woudl have changed the setting. Laptop Screen is stable. During clamshell and open mode (mirrored

  • The edit Link on my report form opens the page to create a new record.

    For some reason my applications edit link on the report form is opening a new blank entry instead of pulling the data that needs edited from that row. I just have a basic report and form. Where can I check this Edit button to see if it is linking to

  • Task Squence Does Not Progress After Initial Reboot

    My SCCM 2007 task sequence advertised to wireless computers will not go to next step. It performs the initial reboot to clear WMI, then is supposed to start a program install. This works on all non-wireless devices.  10/17/2014 10:32:55 AM   Accepted

  • Strange But True can anyone explain????

    I have used a Time Capsule for sometime now as backup , shared drive and Network. and i have only ever been able to access it for my iphoto and itunes (300gb of photos and music) from the TC wifi network. then tonight i have been able to access my TC

  • Snow Leopard running very slow after Apple security update 10-05

    I installed the security update that came out Tuesday 8/24. After restarting I noticed that both my browsers (Safari 5.1 and Firefox 3.8) were running so slow they would time out before loading a webpage. Also my VLC media player was very slow to sta