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Edit Comment Close Premium member Presentation Transcript Accounts Payable Version 1.0Unit 4: Payments : 1 FI: Accounts Payable SAP-ERP Accounts Payable Version 1.0Unit 4: Payments Course Agenda : 2 FI: Accounts Payable Course Agenda Unit 1: Introduction Unit 2: Master Data Unit 3: Invoice & Credit Note Processing Unit 4: Payments Unit 5: Inquiries & Account Management Unit 6: Reporting Unit Objectives : 3 FI: Accounts Payable Unit Objectives At the completion of this unit, you will be able to: Understand how vendor invoices and credit memos are paid and cleared on SAP R/3. Perform an Payment Run Manage and Review Payment Data Display check information Clear Vendor Open Items Reset Cleared Items Correct entries made to a Vendor a/c Transaction Codes : 4 FI: Accounts Payable Transaction Codes Accounts Payable Module Payment Run F110 (Automatic Payment Run) Manual Clearing F-44 Check Register FCHN Clear Vendor Open Items F- 44 Reset Cleared items FBRA Key Terms : 5 FI: Accounts Payable Key Terms Payment Program Proposal Run Payment Proposal Exceptions Vendor Payments Method within SAP R/3 : 6 FI: Accounts Payable Vendor Payments Method within SAP R/3 Payment Run The payment run is an process that runs a payment program which determines automatically: Which vendors to pay When to pay vendors The method of payment (check or wire transfer) Payment Run (F110) : 7 FI: Accounts Payable Payment Run (F110) Payment Program Details : 8 FI: Accounts Payable Payment Program Details Step 1 – Set Parameters In this step of the payment run, you define the settings the system will use in determining which open items to pay, what payment method to use and what information will be captured in the payment log. Key Fields to be completed include: Next Posting Date – date you expect to process another payment run Company Codes – which companies you wish to include in the run Payment Method – e.g. check or EFT Transaction F110 – (Payment Program) – Set Parameters : 9 FI: Accounts Payable Transaction F110 – (Payment Program) – Set Parameters Step 1 – Set Parameters : 10 FI: Accounts Payable Step 1 – Set Parameters Next you inform the system on what values of Documents to exclude. In this case, Documents with Reason code R and doc type ZE- Garnishment payment documents) are excluded during this cycle run. Garnishment payments are run as a separate payment run. Step 1 – Set Parameters : 11 FI: Accounts Payable Step 1 – Set Parameters Next you complete the Additional Log if you wish to specify any of the following: You are asking the system to log the following events Due Date Check – used to keep a log of due date checking of open items Payment method Selection in all cases – used to keep a log of all payment methods and banks selected during a payment run. Payment method selection if not successful – attempted selection of the payment method and bank is recorded in the log if no permissible payment method or bank is found. Line Items of the payment documents – used to set a trace for payment documents. Step 2 - Run Proposal : 12 FI: Accounts Payable Step 2 - Run Proposal You are scheduling the payment proposal in this step. The proposal acts as a simulation of an actual run to allow you to perform an analysis and make any necessary adjustment prior to the live run. Although no postings are made by the system at this point, items selected during the proposal run cannot be selected by any subsequent payment run. This prevents duplicate payments from being made. Note – these items remain “selected” until the proposal is either deleted or the payment run is completed. Proposal Screen : 13 FI: Accounts Payable Proposal Screen Select Proposal Step 3 – Review and Edit Proposal : 14 FI: Accounts Payable Step 3 – Review and Edit Proposal When the proposal run has completed additional boxes will appear at the top of the screen to allow you to edit and review the proposal. Proposal Review and Edit Boxes Proposal List : 15 FI: Accounts Payable Proposal List The Proposal List will show items that are exceptions. You simply double click into the exception line to review the issue. Double Click Step 4 – Re-Run Proposal : 16 FI: Accounts Payable Step 4 – Re-Run Proposal When all exception items have been corrected the current proposal has to be deleted to include the changes you may have made on vendor items or master data. When you run the proposal again you can review before you execute the payment run (steps as above also). The final review is to run the list to analyze the payment run before executing real-time. The Proposal log will be similar to this: : 17 FI: Accounts Payable The Proposal log will be similar to this: Step 5 – Payment Run : 18 FI: Accounts Payable Step 5 – Payment Run Again you will be asked if you want to run the payment run immediately. When the run has completed: All open items will be cleared from vendor accounts. Documents with Debit (Dr) and Credit (Cr) entries will be posted to the vendor and general ledger accounts. Files will be created to transfer the payments. Check runs are done on Mondays and Thursdays only while wires are done everyday. Payment Run Results Screen : 19 FI: Accounts Payable Payment Run Results Screen Message to say payment run successful Payment Run for Customer : 20 FI: Accounts Payable Payment Run for Customer Customers selected instead of Vendors Payment Run for Garnishment Payments : 21 FI: Accounts Payable Payment Run for Garnishment Payments Garnishment Document selection Criteria Managing and Reviewing Payment Run Data : 22 FI: Accounts Payable Managing and Reviewing Payment Run Data Managing and reviewing payment data includes the following: Display Check Information (FCH1) Voiding an issued check (FCH8) Blocking / unblocking vendor invoice Displaying the Check Register Display Check (FCH1) : 23 FI: Accounts Payable Display Check (FCH1) Display Check (FCH1) : 24 FI: Accounts Payable Display Check (FCH1) Display FI Documents for Checks (PO Inv) : 25 FI: Accounts Payable Display FI Documents for Checks (PO Inv) Note: If FI Document displays 51XX Number, then the Invoice displayed is a PO Invoice, else the Document displayed is a Non PO Invoice (10XX X or 900XXNumber) Double click on the line item to display the the Logistic document Display FI Documents for Checks (PO Inv) : 26 FI: Accounts Payable Display FI Documents for Checks (PO Inv) Display FI Documents for Checks (PO Inv) : 27 FI: Accounts Payable Display FI Documents for Checks (PO Inv) Voiding Issued Checks (FCH8) : 28 FI: Accounts Payable Voiding Issued Checks (FCH8) Checks can be voided for multiple reasons, such as being lost, damaged or stolen, Incorrect amount on check,Incorrect vendor Name,Illegible Check issued. SAP allows a reason code to be assigned to identify the reason the check is being voided. The payment document is reversed. The check register is updated. Stop Payments and Voiding of A/P Checks : 29 FI: Accounts Payable Stop Payments and Voiding of A/P Checks Accounts Payable contacts the bank to verify that the check has not been cashed, then issues a "stop payment". Once this is complete, the check needs to be voided in SAP and is either reissued or the FI documents are reversed. Voiding the check (FCH8) : 30 FI: Accounts Payable Voiding the check (FCH8) Make sure to contact the bank and request a “stop payment” before voiding or canceling a Payment Voiding the check (FCH8) : 31 FI: Accounts Payable Voiding the check (FCH8) Enter the company code on which the check was issued , House bank, Account ID, Check number, Void reason code, and use Reversal reason 99. Use the eyeglasses to display/verify the check info Return to the Cancel Check payment screen and click the “Cancel payment” button to cancel check Re-issuing a check : 32 FI: Accounts Payable Re-issuing a check If the check is to be reissued, the documents are open and a new check will be issued in the next payment run. Write the vendor number, documents number, and due date on the void/reissue request. Place in "manual" file bin to be file in disbursement tickler. Disbursement will audit and mail check. Back up with be scanned with vendor invoices for that date. Reset Cleared Items : 33 FI: Accounts Payable Reset Cleared Items Resetting cleared line items is the process of reactivating line items that have been cleared. You can reset clearing transactions for individual documents. When clearing is reset, the clearing data is removed from the line items. You can also reverse the payment document which cleared the open items. Transaction is FBRA Reset Cleared Items – Transaction Code : 34 FI: Accounts Payable Reset Cleared Items – Transaction Code Reset Cleared Items : 35 FI: Accounts Payable Only 1 document can be reset at a time. The fields that need to be completed are The document Numbers The company code The fiscal year the item was posted Reset Cleared Items Reversing documents if no check re-issued : 36 FI: Accounts Payable Reversing documents if no check re-issued If the check is not to be reissued, the documents need to be reversed. There are two different procedures depending on whether the original document was PO-related or non-PO related. Remember all documents covered on the CHECK need to be reversed. Reversing documents if no check re-issued : 37 FI: Accounts Payable Reversing documents if no check re-issued Non-PO related invoices Reverse the invoice using FB08 PO related invoice Reverse the logistic document using MR8M Use transaction F-44 to clear the financial DR and CR documents Cross-company Logistic Document Use transaction FBU8 to reverse the financial document Use transaction F-44 to clear the financial DR and CR documents Reversal of Non-PO related invoices : 38 FI: Accounts Payable Reversal of Non-PO related invoices Reversal of PO related invoices (MR8M) : 39 FI: Accounts Payable Reversal of PO related invoices (MR8M) Clear Vendor Account Open Items : 40 FI: Accounts Payable Clear Vendor Account Open Items This function will be used to clear open items from inter-company transactions. Inter-company vendors will be utilized to post and track inter-company changes. No payment will be made (or received) on these transactions. Open items must be cleared from the inter-company vendor accounts. You can only clear open items from one account at a time. Note: This is not an AP functionality Clear Open Items – Transaction Code : 41 FI: Accounts Payable Clear Open Items – Transaction Code Clear Open Items – Selection Criteria F- 44 : 42 FI: Accounts Payable Clear Open Items – Selection Criteria F- 44 Process Open Items : 43 FI: Accounts Payable All Open Items will appear as follows: You simply double click on the amounts you wish to clear against each other. Select the line items to clear Process Open Items Block / Unblock Vendor Postings From Being Paid : 44 FI: Accounts Payable Block / Unblock Vendor Postings From Being Paid Payments may be temporarily blocked if there is a reason that the vendor or invoice should not be paid. In order to block a payment, a block payment flag is assigned to the invoice document. The block may be reversed or unblocked if the reason that prompted the block is resolved. The block is entered on the document through transaction FB02 (change document). Check Register (FCHN) : 45 FI: Accounts Payable Check Register (FCHN) The check register generates a list of checks belonging to a specific company code. The register is sorted by payment method and check number. Check Register – Transaction Code : 46 FI: Accounts Payable Check Register – Transaction Code Check Register Selection Criteria : 47 FI: Accounts Payable Check Register Selection Criteria Enter the reqd. information Unit Recap : 48 FI: Accounts Payable Unit Recap You can execute Payment Run using transaction F110 You can display Check information using transaction FCH1 You can Void Checks using transaction FCH8 You can Void Checks in SAP using transaction code FCH8 You can Clear Open Items using transaction F-44 You can Reset Cleared Items using transaction FBRA You can view Check Register using transaction FCHN Questions and Answers : 49 FI: Accounts Payable Questions and Answers You do not have the permission to view this presentation. In order to view it, please contact the author of the presentation.
SAP Accounts Payable Payment | http://sapdocs.info eddai Download Post to : URL : Related Presentations : Share Add to Flag Embed Email Send to Blogs and Networks Add to Channel Uploaded from authorPOINT lite Insert YouTube videos in PowerPont slides with aS Desktop Copy embed code: (To copy code, click on the text box) Embed: URL: Thumbnail: WordPress Embed Customize Embed The presentation is successfully added In Your Favorites. Views: 3606 Category: Education License: Some Rights Reserved Like it (1) Dislike it (0) Added: June 18, 2010 This Presentation is Public Favorites: 2 Presentation Description No description available. Comments Posting comment... By: eddai (23 month(s) ago) You can download this SAP Accounts Payable Training Material from http://sapdocs.info/sap/fico/sap-accounts-payable-training-p.. for more SAP FICO Materials please visit http://sapdocs.info/ Saving..... Post Reply Close Saving..... Edit Comment Close Premium member Presentation Transcript Accounts Payable Version 1.0Unit 4: Payments : 1 FI: Accounts Payable SAP-ERP Accounts Payable Version 1.0Unit 4: Payments Course Agenda : 2 FI: Accounts Payable Course Agenda Unit 1: Introduction Unit 2: Master Data Unit 3: Invoice & Credit Note Processing Unit 4: Payments Unit 5: Inquiries & Account Management Unit 6: Reporting Unit Objectives : 3 FI: Accounts Payable Unit Objectives At the completion of this unit, you will be able to: Understand how vendor invoices and credit memos are paid and cleared on SAP R/3. Perform an Payment Run Manage and Review Payment Data Display check information Clear Vendor Open Items Reset Cleared Items Correct entries made to a Vendor a/c Transaction Codes : 4 FI: Accounts Payable Transaction Codes Accounts Payable Module Payment Run F110 (Automatic Payment Run) Manual Clearing F-44 Check Register FCHN Clear Vendor Open Items F- 44 Reset Cleared items FBRA Key Terms : 5 FI: Accounts Payable Key Terms Payment Program Proposal Run Payment Proposal Exceptions Vendor Payments Method within SAP R/3 : 6 FI: Accounts Payable Vendor Payments Method within SAP R/3 Payment Run The payment run is an process that runs a payment program which determines automatically: Which vendors to pay When to pay vendors The method of payment (check or wire transfer) Payment Run (F110) : 7 FI: Accounts Payable Payment Run (F110) Payment Program Details : 8 FI: Accounts Payable Payment Program Details Step 1 – Set Parameters In this step of the payment run, you define the settings the system will use in determining which open items to pay, what payment method to use and what information will be captured in the payment log. Key Fields to be completed include: Next Posting Date – date you expect to process another payment run Company Codes – which companies you wish to include in the run Payment Method – e.g. check or EFT Transaction F110 – (Payment Program) – Set Parameters : 9 FI: Accounts Payable Transaction F110 – (Payment Program) – Set Parameters Step 1 – Set Parameters : 10 FI: Accounts Payable Step 1 – Set Parameters Next you inform the system on what values of Documents to exclude. In this case, Documents with Reason code R and doc type ZE- Garnishment payment documents) are excluded during this cycle run. Garnishment payments are run as a separate payment run. Step 1 – Set Parameters : 11 FI: Accounts Payable Step 1 – Set Parameters Next you complete the Additional Log if you wish to specify any of the following: You are asking the system to log the following events Due Date Check – used to keep a log of due date checking of open items Payment method Selection in all cases – used to keep a log of all payment methods and banks selected during a payment run. Payment method selection if not successful – attempted selection of the payment method and bank is recorded in the log if no permissible payment method or bank is found. Line Items of the payment documents – used to set a trace for payment documents. Step 2 - Run Proposal : 12 FI: Accounts Payable Step 2 - Run Proposal You are scheduling the payment proposal in this step. The proposal acts as a simulation of an actual run to allow you to perform an analysis and make any necessary adjustment prior to the live run. Although no postings are made by the system at this point, items selected during the proposal run cannot be selected by any subsequent payment run. This prevents duplicate payments from being made. Note – these items remain “selected” until the proposal is either deleted or the payment run is completed. Proposal Screen : 13 FI: Accounts Payable Proposal Screen Select Proposal Step 3 – Review and Edit Proposal : 14 FI: Accounts Payable Step 3 – Review and Edit Proposal When the proposal run has completed additional boxes will appear at the top of the screen to allow you to edit and review the proposal. Proposal Review and Edit Boxes Proposal List : 15 FI: Accounts Payable Proposal List The Proposal List will show items that are exceptions. You simply double click into the exception line to review the issue. Double Click Step 4 – Re-Run Proposal : 16 FI: Accounts Payable Step 4 – Re-Run Proposal When all exception items have been corrected the current proposal has to be deleted to include the changes you may have made on vendor items or master data. When you run the proposal again you can review before you execute the payment run (steps as above also). The final review is to run the list to analyze the payment run before executing real-time. The Proposal log will be similar to this: : 17 FI: Accounts Payable The Proposal log will be similar to this: Step 5 – Payment Run : 18 FI: Accounts Payable Step 5 – Payment Run Again you will be asked if you want to run the payment run immediately. When the run has completed: All open items will be cleared from vendor accounts. Documents with Debit (Dr) and Credit (Cr) entries will be posted to the vendor and general ledger accounts. Files will be created to transfer the payments. Check runs are done on Mondays and Thursdays only while wires are done everyday. Payment Run Results Screen : 19 FI: Accounts Payable Payment Run Results Screen Message to say payment run successful Payment Run for Customer : 20 FI: Accounts Payable Payment Run for Customer Customers selected instead of Vendors Payment Run for Garnishment Payments : 21 FI: Accounts Payable Payment Run for Garnishment Payments Garnishment Document selection Criteria Managing and Reviewing Payment Run Data : 22 FI: Accounts Payable Managing and Reviewing Payment Run Data Managing and reviewing payment data includes the following: Display Check Information (FCH1) Voiding an issued check (FCH8) Blocking / unblocking vendor invoice Displaying the Check Register Display Check (FCH1) : 23 FI: Accounts Payable Display Check (FCH1) Display Check (FCH1) : 24 FI: Accounts Payable Display Check (FCH1) Display FI Documents for Checks (PO Inv) : 25 FI: Accounts Payable Display FI Documents for Checks (PO Inv) Note: If FI Document displays 51XX Number, then the Invoice displayed is a PO Invoice, else the Document displayed is a Non PO Invoice (10XX X or 900XXNumber) Double click on the line item to display the the Logistic document Display FI Documents for Checks (PO Inv) : 26 FI: Accounts Payable Display FI Documents for Checks (PO Inv) Display FI Documents for Checks (PO Inv) : 27 FI: Accounts Payable Display FI Documents for Checks (PO Inv) Voiding Issued Checks (FCH8) : 28 FI: Accounts Payable Voiding Issued Checks (FCH8) Checks can be voided for multiple reasons, such as being lost, damaged or stolen, Incorrect amount on check,Incorrect vendor Name,Illegible Check issued. SAP allows a reason code to be assigned to identify the reason the check is being voided. The payment document is reversed. The check register is updated. Stop Payments and Voiding of A/P Checks : 29 FI: Accounts Payable Stop Payments and Voiding of A/P Checks Accounts Payable contacts the bank to verify that the check has not been cashed, then issues a "stop payment". Once this is complete, the check needs to be voided in SAP and is either reissued or the FI documents are reversed. Voiding the check (FCH8) : 30 FI: Accounts Payable Voiding the check (FCH8) Make sure to contact the bank and request a “stop payment” before voiding or canceling a Payment Voiding the check (FCH8) : 31 FI: Accounts Payable Voiding the check (FCH8) Enter the company code on which the check was issued , House bank, Account ID, Check number, Void reason code, and use Reversal reason 99. Use the eyeglasses to display/verify the check info Return to the Cancel Check payment screen and click the “Cancel payment” button to cancel check Re-issuing a check : 32 FI: Accounts Payable Re-issuing a check If the check is to be reissued, the documents are open and a new check will be issued in the next payment run. Write the vendor number, documents number, and due date on the void/reissue request. Place in "manual" file bin to be file in disbursement tickler. Disbursement will audit and mail check. Back up with be scanned with vendor invoices for that date. Reset Cleared Items : 33 FI: Accounts Payable Reset Cleared Items Resetting cleared line items is the process of reactivating line items that have been cleared. You can reset clearing transactions for individual documents. When clearing is reset, the clearing data is removed from the line items. You can also reverse the payment document which cleared the open items. Transaction is FBRA Reset Cleared Items – Transaction Code : 34 FI: Accounts Payable Reset Cleared Items – Transaction Code Reset Cleared Items : 35 FI: Accounts Payable Only 1 document can be reset at a time. The fields that need to be completed are The document Numbers The company code The fiscal year the item was posted Reset Cleared Items Reversing documents if no check re-issued : 36 FI: Accounts Payable Reversing documents if no check re-issued If the check is not to be reissued, the documents need to be reversed. There are two different procedures depending on whether the original document was PO-related or non-PO related. Remember all documents covered on the CHECK need to be reversed. Reversing documents if no check re-issued : 37 FI: Accounts Payable Reversing documents if no check re-issued Non-PO related invoices Reverse the invoice using FB08 PO related invoice Reverse the logistic document using MR8M Use transaction F-44 to clear the financial DR and CR documents Cross-company Logistic Document Use transaction FBU8 to reverse the financial document Use transaction F-44 to clear the financial DR and CR documents Reversal of Non-PO related invoices : 38 FI: Accounts Payable Reversal of Non-PO related invoices Reversal of PO related invoices (MR8M) : 39 FI: Accounts Payable Reversal of PO related invoices (MR8M) Clear Vendor Account Open Items : 40 FI: Accounts Payable Clear Vendor Account Open Items This function will be used to clear open items from inter-company transactions. Inter-company vendors will be utilized to post and track inter-company changes. No payment will be made (or received) on these transactions. Open items must be cleared from the inter-company vendor accounts. You can only clear open items from one account at a time. Note: This is not an AP functionality Clear Open Items – Transaction Code : 41 FI: Accounts Payable Clear Open Items – Transaction Code Clear Open Items – Selection Criteria F- 44 : 42 FI: Accounts Payable Clear Open Items – Selection Criteria F- 44 Process Open Items : 43 FI: Accounts Payable All Open Items will appear as follows: You simply double click on the amounts you wish to clear against each other. Select the line items to clear Process Open Items Block / Unblock Vendor Postings From Being Paid : 44 FI: Accounts Payable Block / Unblock Vendor Postings From Being Paid Payments may be temporarily blocked if there is a reason that the vendor or invoice should not be paid. In order to block a payment, a block payment flag is assigned to the invoice document. The block may be reversed or unblocked if the reason that prompted the block is resolved. The block is entered on the document through transaction FB02 (change document). Check Register (FCHN) : 45 FI: Accounts Payable Check Register (FCHN) The check register generates a list of checks belonging to a specific company code. The register is sorted by payment method and check number. Check Register – Transaction Code : 46 FI: Accounts Payable Check Register – Transaction Code Check Register Selection Criteria : 47 FI: Accounts Payable Check Register Selection Criteria Enter the reqd. information Unit Recap : 48 FI: Accounts Payable Unit Recap You can execute Payment Run using transaction F110 You can display Check information using transaction FCH1 You can Void Checks using transaction FCH8 You can Void Checks in SAP using transaction code FCH8 You can Clear Open Items using transaction F-44 You can Reset Cleared Items using transaction FBRA You can view Check Register using transaction FCHN Questions and Answers : 49 FI: Accounts Payable Questions and Answers