2012 Apr 24 12:45 PM
hi dear experts.
in my current project i have requirement regarding clearing process, i have knowledge on configuration of clearing strategy process like clearing type, clearing variant and clearing category. once we complete this process we have to maintained at Define Defaults for Incoming Payments,Define Defaults for Account Maintenance, and also at invoicing level like Define Control for Additional Invoicing Functions,
my question is once we configured at this level from where system will pic our defined specification process.
suppose if i am using cash desk how system will pic my defined variant key, not only for this one while executing any transaction tcode how process will take place.
i studied materials but i am not clear the process of picking.
if u want share this information can u specify the configuration area from where system will take care process .
it is a great help to discuss with me this information .
thanks..
sam
2012 Apr 24 2:13 PM
Sam:
Clearing processes are defined internally by the system and cannot be changed. You can find the defined values in the configuration for 'Define defaults for...' within the clearing control configuration.
regards,
bill.
2012 Apr 24 2:13 PM
Sam:
Clearing processes are defined internally by the system and cannot be changed. You can find the defined values in the configuration for 'Define defaults for...' within the clearing control configuration.
regards,
bill.
2012 Apr 25 5:34 AM
if so what is the purpose of clearing variant. even system has to perform internally we have to specify our own clearing process. for that moment how the process will take place..
2012 Apr 25 6:17 PM
Sam:
The 'Define defaults...' activities enable you to assign your clearing variants to the clearing processes.
regards,
bill.
2012 Apr 25 8:19 PM
Hi Sam,
Within each default configuration, there have to be rows added that relate to specific Clearing Types.
For instance, for Incoming Payments, the rows could be as follows:
You then map/link each relevant Clearing Type (what you call "process") to the Clearing Variant you wish to default in for that particular process.
01 Post Manually
05 Payment lot
19 Cash Desk: Payment
20 Cash Desk: Payment by Card
21 Cash Desk: Payment by Check
47 Electronic Bill Presentment and Payment
55 Credit Card Lot
RZ Cash Desk: Payment
For Account maintenance clearing types, you should have rows for mass account maintenance as well as individual account maintenance (i.e. Clearing Types 03 and 04).
The same concept holds true for ''Define Specifications for IS-U Invoicing" configuration (i.e. all Clearing Types related to Invoicing must be configured. These are the usual ones - listed below:
R4 Invoicing
R41 Periodic billing
R42 Final billing: contract
R43 Final billing: contract accnt (move-out)
R5 Partial Bill
Regards,
Ivor M.
2012 Apr 26 6:00 AM
thanks lvor .
now i am some what clear abt the concepts of clearing process.
can u guide me the area of configuration effects the process like in clearing control we can do all process, only this area is enough to control the clearing process r else any area i have to check for the result, this one will be more helpful to to complete my tasks.
thanks..
sam
2012 Apr 26 1:53 PM
Hi,
For invoicing, you can further control Account Maintenance in the configuration path :
SAP Utilities->Invoicing->Invoice Processin->Item Selection in Account Maintenance/ Define Sub-Items
Here you can specify (by Clearing Category and Clearing Type) which Main/Sub you wish to include (or exclude) in Account maintenance.
For example, if you wish to exclude a specific Main/Sub transaction, you would set OI Selection to "9".
Regards,
Ivor M.