Here is demos about how to run automatic payment on IDES
http://help.sap.com/saphelp_ides/helpdata/en/6e/121aad9f0411d189b80000e829fbbd/frameset.htm
And here is the configruation steps:
http://www.sapdb.info/configure-the-automatic-payment-program/
Userful Tcode:
FBZP - maintain payment program
And we can also do step by step Financial Accounting -> Accounts Receivable and Accounts Payable -> Business Transactions -> Outgoing Payments -> Automatic Outgoing Payments -> Payment Method/Bank Selection for Payment Program.
Financial Accounting -> Accounts Receivable and Accounts Payable -> Business Transactions -> Incoming Payments -> Automatic Incoming Payments -> Payment Method/Bank Selection for Payment Program.
Steps for configuring the automatic payment program:
First, Set up the following:
- Co. code for Payment transaction.
- Define sending and paying company code.
- Tolerance days for payable.
- Minimum % for cash discount.
- Maximum cash discount.
- Special GL transactions to be paid.
Next, Set up the following:
- Paying company code for payment transaction.
- Minimum amount for outgoing payment.
- No exchange rate diff.
- Separate payment for each ref.
- Bill/exch payment.
- Form for payment advice.
Next, Set up the following:
- Payment method per country.
- Whether Outgoing payment.
- Check or bank transfer or B/E.
- Whether allowed for personnel payment.
- Required master data.
- Doc types.
- Payment medium programs.
- Currencies allowed.
Next, Set up the following:
- Payment method per company code for payment transactions.
- Set up per payment method and co. code.
- The minimum and maximum amount.
- Whether payment per due day.
- Bank optimization by bank group or by postal code or no optimization.
- Whether Foreign currency allowed.
- Customer/Vendor bank abroad allowed.
- Attach the payment form check.
- Whether payment advice required.
Next, Set up the following:
- Bank Determination for Payment Transactions.
- Rank the house banks as per the following.
- Payment method, currency and give them ranking nos.
- Set up house bank sub account (GL code).
- Available amounts for each bank.
- House bank, account id, currency, available amount.
- Value date specification.
本文档详细介绍了在SAP系统中设置自动支付程序的步骤。主要包括:定义支付交易代码、公司代码、付款容忍天数等;设定最低支付金额、汇率差额处理等;配置支付方式、是否允许个人支付等;并进行银行确定设置,如排名主银行、支付方法及货币等。
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