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How set up the net due date equal to invoice in the Manage automatic Payment App

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1,816

Dear Sap support,

I need to set up the net due date of the clearing document created by 'manage Automatic Payment' the same date of the customer invoices collected.This important for Bill of exchange posting with App, linked of the W sp. gl id.

Thanks a lot in advance

Natale

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Anirban_Dutta
Advisor
Advisor
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Hi Natalie,

You can check the pre-configured payment terms provided by SAP in SSCUIs 100372 and 100073 if any of them suit your purpose. Payment term NT00 may suit your purpose. Or you can create a payment term as per your requirement.

Regards,

Anirban

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Dear Anirban,

My request is to have the same net due date of the clearing document with the customer invoices. I don't need to have the creation of the new payment term

uwe_weiss
Discoverer
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Hi Natalie,

create a payment term in transaction OBB8 which contains the payment method of the Bill of Exchange as a default. This should work.

Regards

Giovanna