Automatic Payments (F110), Steps Needed
Automatic Payments (F110), Steps Needed
Automatic Payments (F110), Steps Needed
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Gurus,
https://archive.sap.com/discussions/thread/601735 1/15
11/25/2017 Automatic Payments (F110), Steps Needed
Thanks.
(https://people.sap.com/kaptain.sap)
Correct Answer
Db Inventory 100
Cr Vendor 100
Db Vendor 100
2. Goto /nF110
- Bank Determination
https://archive.sap.com/discussions/thread/601735 2/15
11/25/2017 Automatic Payments (F110), Steps Needed
a ete at o
- House Banks
House bank:
- Account ID
and save it
999999 9999999
and save it
https://archive.sap.com/discussions/thread/601735 3/15
11/25/2017 Automatic Payments (F110), Steps Needed
Goto /nf110
House Bank:
Account ID:
Lot Number:001
Check Number:
To:
Short Info:
Note:
(VP02)
Identification Feature:(blank)
House Bank:VP02
Rundate:09/21/2006
identification:vp02
VP02 C 09/30/2006
Vendor: 1 to 999999
select check
Program Variant
RFFOUS_C VP02
entered.
start time:
Note:
https://archive.sap.com/discussions/thread/601735 5/15
11/25/2017 Automatic Payments (F110), Steps Needed
Note:
2000000000 ZP (amount)
2000000001 ZP (amount)
Assign Points
Zia
1
View this answer in context (/discussions/message/4297812#4297812)
tps://answers.sap.com/questions/ask.html?primaryTagId=648420875567243523242285841826221)
4 replies
https://archive.sap.com/discussions/thread/601735 6/15
11/25/2017 Automatic Payments (F110), Steps Needed
(https://people.sap.com/radha.nannapaneni)
1. Enter run date & identification (you can give anything for identification) then enter
2. Click on parameter tab Give, company code, payment method, next date and vendor
number and press enter
3. Click on Additional log tab, select due date check, payment method selection and line
items of payment documents and give vendor number. press enter and save
4. Again you will be in the first tab. Click on prosal. Select start immediately enter
6. Clcik on payment prosposal enter (again message will come as payment proposal
entered)
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(https://people.sap.com/saritha.dharmala)
Hi Bhatia
Enter the run date as when your going to run the payment
then select the parameters tab enter the posting date in which date you want to transfer
the money to vendor account.
Docs entered upto date you can give till which date documents posted for that vendor do
you want to pay
and give the next payment run date as same asdocs entered upto date
https://archive.sap.com/discussions/thread/601735 7/15
11/25/2017 Automatic Payments (F110), Steps Needed
Go to additional log tab to select the 1,3,4 check boxes and enter the vendor no one more
time.
Select the print out variant which configured in country specific settings in that
responsibility.
To see the proposal select edit-proposal-proposal list. Here you can see the proposal list.
you can run the final if u check everything payment has picked
select the payment run button and press status until you get the payment run has been
carried out.
Rgds
Sarita
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Correct Answer
(https://people.sap.com/mohd.zia)
Mohammed Zahid (https://people.sap.com/mohd.zia)replied
Db Inventory 100
Cr Vendor 100
Db Vendor 100
https://archive.sap.com/discussions/thread/601735 8/15
11/25/2017 Automatic Payments (F110), Steps Needed
- Make sure you check Open Item Manage and Line item
Manage.
2. Goto /nF110
- Bank Determination
- House Banks
Select the company code 3000 with Currency as USD and copy
it give your own.
House bank:
Hit enter and then say copy all and then give your:
- Account ID
- Bank Account select 3000 C USD 3000 113101 and then copy
it and give your information
and save it
https://archive.sap.com/discussions/thread/601735 9/15
11/25/2017 Automatic Payments (F110), Steps Needed
999999 9999999
and save it
Goto /nf110
House Bank:
Account ID:
Lot Number:001
Check Number:
To:
Short Info:
Note:
(VP02)
Identification Feature:(blank)
House Bank:VP02
and then click on variant Attributes (give your own variant) then
save it
Rundate:09/21/2006
identification:vp02
VP02 C 09/30/2006
Vendor: 1 to 999999
select check
Program Variant
RFFOUS_C VP02
and then go to status tab and you will see parameters have
been
entered.
start time:
Hit enter key till you get started, running and created.
https://archive.sap.com/discussions/thread/601735 11/15
11/25/2017 Automatic Payments (F110), Steps Needed
Note:
2000000000 ZP (amount)
2000000001 ZP (amount)
Assign Points
Zia
1
likes
Guest replied October 18, 2007 at 13:47 PM
hi bhatia,
Enter <b>Run Date</b>- May be current or the date to be printed on the cheque/ advice
Enter-<b>Posting Date</b>
Docs entered up to- system date for the considering the documents for the payment.
Enter company codes for which u want to execute APP, payment method and the Next
payment date will be the date after the run date mentioned above.
Tab-Additional Log check 1,2 & 4th boxes enter the vendor or/and customer range
Tab- Printout/data Medium select the variant against the program created for the payment
method.
Press Continue
Press enter until " Payment proposal has been created" message appears on the Status
Tab.
Now <b>F110 i</b>s over and cheques are ready for printing.
Note: Hope you have completed all the required config in <b>FBZP</b>.
Ranjit
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11/25/2017 Automatic Payments (F110), Steps Needed
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