on ‎2011 Dec 14 6:03 PM
Hi Experts,
Need your help to solve below issue.
Compmnay code "1111" is central compasny code,which is making payments to vendor "dddd" through automatic payment program on behalf of other company codes(2222 and 3333).
Issue1:Company code "1111" has open item 1000 with respect to vendor "dddd" and company code "2222" has open item 3000 with respect to same vendor.
when i execute APP it is issuing two different checks though vendor is same.Single check should be issued as per my requirement.
Let me know about the configuration.
issue2: Compnay code has "1111"credit memo amount 10000(debit balance) in vendor "yyyy" in the year 2010 and since 2010 no invoices in comopany code "1111" but company code "2222" has invoice amount 15000 for the same vendor.
My requireemnt is check shoud be issued for the amount ( after diducting credit memo amount from invoice amount) in APP.
Please let me know about configuration.
Regards,
Uma
Request clarification before answering.
In configuration t code FBZP ("All company codes" option), try using payment method supplement. I think that should take care of your requirement.
Here is SAP help text for this field.
Usage of Payment Method Supplements
Means that payments are to be separated in the document according to a preset characteristic.
Use
If you select this option, a payment method supplement can be predefined in the customers and vendors of the company code. This supplement is used to group payments. Payments are separated according to payment method supplements and can be printed separately by these supplements or sorted by them for printing. The payment method supplement is defaulted during document entry and can be overwritten there.
Procedure
Select this option if you want to use payment method supplements.
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In vendor master (payment transactions tab), is the field 'Individual pmnt' checked? If yes, automatic payment program pays every open item separately. Also, pl. read the help text on fields 'Grouping key' and 'Pmt meth. supl.' in the same tab in vendor master. Overall, these are the field settings that you should be looking at for your requirement.
Hi Srikanth,
Field 'Individual pmnt' is not selected in Vendor master...
After enbling the 'Pmt meth. supl', I have defined a new 'Pmt meth. supl' and assigned it in the vendor master under 'Pmt meth. supl field. It automatically populated in Invoice & Cr Memo. But is didn't group the payment, it generated two different documents.
Thanks,
Vinay
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