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    <title>topic Re: Cheque printing in Application Development and Automation Discussions</title>
    <link>https://community.sap.com/t5/application-development-and-automation-discussions/cheque-printing/m-p/2587216#M592113</link>
    <description>&lt;HTML&gt;&lt;HEAD&gt;&lt;/HEAD&gt;&lt;BODY&gt;&lt;P&gt;Hi&lt;/P&gt;&lt;P&gt;1.Copy the Program and Script F110_PRENUM_CHECK into ZPROGRAM and ZFORM and assign them in the Transaction F110 for the respective company code&lt;/P&gt;&lt;P&gt;and do the changes required in the script to allign the fields correctly&lt;/P&gt;&lt;P&gt;Generally we use pre printed stationary for this cheque printing.&lt;/P&gt;&lt;P&gt;on the top all the Doc line items will be printed and below in the last a cheque will be there, on which we have to see that certain fields like Cheque date, amount, vendor name  and amount in words has to be printed in the cheque.&lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;IFyou don't wants to do changes to program no need to copy it.&lt;/P&gt;&lt;P&gt;see this doc for more idea&lt;/P&gt;&lt;P&gt;Run Payment Program (F110)&lt;/P&gt;&lt;P&gt;Purpose&lt;/P&gt;&lt;P&gt;Use this procedure to run the automatic payment program. The payment program is used to create cheques, BACs payments, electronic transfers, etc. for vendors. It is also used to create a direct debit file for customer payments. The payment program runs in three specific steps, which must be run in order.&lt;/P&gt;&lt;P&gt;Create Payment Proposal. This is a listing of proposed payments. The proposal should be reviewed for accuracy and edited or deleted if incorrect. No postings or payments are created at this step.&lt;/P&gt;&lt;P&gt;Create Payments. This step creates posting documents in the system, clearing the customer/vendor subledger accounts and posting the offsetting item to a cash or cash clearing account. &lt;/P&gt;&lt;P&gt;Create Payment Media. This step creates the actual payments, sending cheque forms to the printer or creating files of electronic payments to be sent to the bank.&lt;/P&gt;&lt;P&gt;Trigger&lt;/P&gt;&lt;P&gt;Perform this procedure when you are ready to create vendor payments or to create a direct debit file for customers. &lt;/P&gt;&lt;P&gt;Prerequisites&lt;/P&gt;&lt;P&gt;&amp;#149; You must have the following master data prepared:&lt;/P&gt;&lt;P&gt;&amp;#149; Banks and bank accounts with associated general ledger accounts;&lt;/P&gt;&lt;P&gt;&amp;#149; Appropriate payment methods assigned to your company code; &lt;/P&gt;&lt;P&gt;&amp;#149; Customer and vendor master records with the appropriate details completed.&lt;/P&gt;&lt;P&gt;&amp;#149; If you wish to create a cheque payment, the vendor/customer master record must contain full address details.&lt;/P&gt;&lt;P&gt;&amp;#149; If you wish to create an electronic payment, the vendor/customer master record must contain full bank details.&lt;/P&gt;&lt;P&gt;&amp;#149; If you wish to create a direct debit transaction for a customer, the 'Col' (collection authorization) checkbox must be selected. This field is found on the General Data - Payment Transaction Data tab.&lt;/P&gt;&lt;P&gt;Navigation Path&lt;/P&gt;&lt;P&gt;Use the following navigation path to begin this transaction:&lt;/P&gt;&lt;P&gt;&amp;#149; Select Processes è Purchase Requisition through to Payment è Payments è Automatic Payments è Run Payment Program to go to the Automatic Payment Transactions: Status screen.&lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;for more information please check out the link below it &lt;/P&gt;&lt;P&gt;might help you&lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;&lt;A href="http://www.hostlogic.hu/caghelp/Transactions/Finance/content/f110%20-%20run%20payment%20program/cc/html/index.htm" target="test_blank"&gt;http://www.hostlogic.hu/caghelp/Transactions/Finance/content/f110%20-%20run%20payment%20program/cc/html/index.htm&lt;/A&gt;&lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;&lt;B&gt;&lt;/B&gt;&lt;/P&gt;&lt;P&gt;Reward points for useful Answers&lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;Regards&lt;/P&gt;&lt;P&gt;Anji&lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;/BODY&gt;&lt;/HTML&gt;</description>
    <pubDate>Wed, 25 Jul 2007 07:29:47 GMT</pubDate>
    <dc:creator>Former Member</dc:creator>
    <dc:date>2007-07-25T07:29:47Z</dc:date>
    <item>
      <title>Cheque printing</title>
      <link>https://community.sap.com/t5/application-development-and-automation-discussions/cheque-printing/m-p/2587215#M592112</link>
      <description>&lt;HTML&gt;&lt;HEAD&gt;&lt;/HEAD&gt;&lt;BODY&gt;&lt;P&gt;Guys I have been asked to do a cheque printing pgm using the already existing SAP program RFFOUS_C and Form F11-_prenum_chck. First i have benn asked to copy these pgm and form into the customer name space. Then edit the form in the way i want.. all these i can do.. But if someone has done this pgm plz guide me with how it is done ib steps...&lt;/P&gt;&lt;P&gt;If i get a good answer i will surely reward points&lt;/P&gt;&lt;P&gt;Regards,&lt;/P&gt;&lt;P&gt;Vijay&lt;/P&gt;&lt;/BODY&gt;&lt;/HTML&gt;</description>
      <pubDate>Wed, 25 Jul 2007 07:20:56 GMT</pubDate>
      <guid>https://community.sap.com/t5/application-development-and-automation-discussions/cheque-printing/m-p/2587215#M592112</guid>
      <dc:creator>Former Member</dc:creator>
      <dc:date>2007-07-25T07:20:56Z</dc:date>
    </item>
    <item>
      <title>Re: Cheque printing</title>
      <link>https://community.sap.com/t5/application-development-and-automation-discussions/cheque-printing/m-p/2587216#M592113</link>
      <description>&lt;HTML&gt;&lt;HEAD&gt;&lt;/HEAD&gt;&lt;BODY&gt;&lt;P&gt;Hi&lt;/P&gt;&lt;P&gt;1.Copy the Program and Script F110_PRENUM_CHECK into ZPROGRAM and ZFORM and assign them in the Transaction F110 for the respective company code&lt;/P&gt;&lt;P&gt;and do the changes required in the script to allign the fields correctly&lt;/P&gt;&lt;P&gt;Generally we use pre printed stationary for this cheque printing.&lt;/P&gt;&lt;P&gt;on the top all the Doc line items will be printed and below in the last a cheque will be there, on which we have to see that certain fields like Cheque date, amount, vendor name  and amount in words has to be printed in the cheque.&lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;IFyou don't wants to do changes to program no need to copy it.&lt;/P&gt;&lt;P&gt;see this doc for more idea&lt;/P&gt;&lt;P&gt;Run Payment Program (F110)&lt;/P&gt;&lt;P&gt;Purpose&lt;/P&gt;&lt;P&gt;Use this procedure to run the automatic payment program. The payment program is used to create cheques, BACs payments, electronic transfers, etc. for vendors. It is also used to create a direct debit file for customer payments. The payment program runs in three specific steps, which must be run in order.&lt;/P&gt;&lt;P&gt;Create Payment Proposal. This is a listing of proposed payments. The proposal should be reviewed for accuracy and edited or deleted if incorrect. No postings or payments are created at this step.&lt;/P&gt;&lt;P&gt;Create Payments. This step creates posting documents in the system, clearing the customer/vendor subledger accounts and posting the offsetting item to a cash or cash clearing account. &lt;/P&gt;&lt;P&gt;Create Payment Media. This step creates the actual payments, sending cheque forms to the printer or creating files of electronic payments to be sent to the bank.&lt;/P&gt;&lt;P&gt;Trigger&lt;/P&gt;&lt;P&gt;Perform this procedure when you are ready to create vendor payments or to create a direct debit file for customers. &lt;/P&gt;&lt;P&gt;Prerequisites&lt;/P&gt;&lt;P&gt;&amp;#149; You must have the following master data prepared:&lt;/P&gt;&lt;P&gt;&amp;#149; Banks and bank accounts with associated general ledger accounts;&lt;/P&gt;&lt;P&gt;&amp;#149; Appropriate payment methods assigned to your company code; &lt;/P&gt;&lt;P&gt;&amp;#149; Customer and vendor master records with the appropriate details completed.&lt;/P&gt;&lt;P&gt;&amp;#149; If you wish to create a cheque payment, the vendor/customer master record must contain full address details.&lt;/P&gt;&lt;P&gt;&amp;#149; If you wish to create an electronic payment, the vendor/customer master record must contain full bank details.&lt;/P&gt;&lt;P&gt;&amp;#149; If you wish to create a direct debit transaction for a customer, the 'Col' (collection authorization) checkbox must be selected. This field is found on the General Data - Payment Transaction Data tab.&lt;/P&gt;&lt;P&gt;Navigation Path&lt;/P&gt;&lt;P&gt;Use the following navigation path to begin this transaction:&lt;/P&gt;&lt;P&gt;&amp;#149; Select Processes è Purchase Requisition through to Payment è Payments è Automatic Payments è Run Payment Program to go to the Automatic Payment Transactions: Status screen.&lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;for more information please check out the link below it &lt;/P&gt;&lt;P&gt;might help you&lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;&lt;A href="http://www.hostlogic.hu/caghelp/Transactions/Finance/content/f110%20-%20run%20payment%20program/cc/html/index.htm" target="test_blank"&gt;http://www.hostlogic.hu/caghelp/Transactions/Finance/content/f110%20-%20run%20payment%20program/cc/html/index.htm&lt;/A&gt;&lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;&lt;B&gt;&lt;/B&gt;&lt;/P&gt;&lt;P&gt;Reward points for useful Answers&lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;Regards&lt;/P&gt;&lt;P&gt;Anji&lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;/BODY&gt;&lt;/HTML&gt;</description>
      <pubDate>Wed, 25 Jul 2007 07:29:47 GMT</pubDate>
      <guid>https://community.sap.com/t5/application-development-and-automation-discussions/cheque-printing/m-p/2587216#M592113</guid>
      <dc:creator>Former Member</dc:creator>
      <dc:date>2007-07-25T07:29:47Z</dc:date>
    </item>
    <item>
      <title>Re: Cheque printing</title>
      <link>https://community.sap.com/t5/application-development-and-automation-discussions/cheque-printing/m-p/2587217#M592114</link>
      <description>&lt;HTML&gt;&lt;HEAD&gt;&lt;/HEAD&gt;&lt;BODY&gt;&lt;P&gt;Hi Ajji,&lt;/P&gt;&lt;P&gt;Can u plz explain to me step by step how i nweed to proceed tp comlete this development....&lt;/P&gt;&lt;P&gt;It will be of great help to me... &lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;Regards &lt;/P&gt;&lt;P&gt;Vijay&lt;/P&gt;&lt;/BODY&gt;&lt;/HTML&gt;</description>
      <pubDate>Wed, 25 Jul 2007 07:42:33 GMT</pubDate>
      <guid>https://community.sap.com/t5/application-development-and-automation-discussions/cheque-printing/m-p/2587217#M592114</guid>
      <dc:creator>Former Member</dc:creator>
      <dc:date>2007-07-25T07:42:33Z</dc:date>
    </item>
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