Hierarchy

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IMG Activity
ID | IHC_CBA_ROUTE_DET | Set Route Determination |
Transaction Code | S_KFM_86000257 | (empty) |
Created on | 20010313 | |
Customizing Attributes | IHC_CBA_ROUTE_DET | Set Route Determination |
Customizing Activity | IHC_CBA_ROUTE_DET | Set Route Determination |
Document
Document Class | SIMG | Hypertext: Object Class - Class to which a document belongs. |
Document Name | IHC_CBA_ROUTE_DET |
In this IMG activity you define the route for making payments from one In-House Cash Center (IHCC) to another. The route to be assigned to a payment can depend on the recipient bank, the transaction currency, and the payment method. This enables you to set up the most appropriate route in each case.
Example
If you want to use route 1 for all payment orders in USD, route 2 for all payment orders in EUR, and route 3 for all other payment orders, you need to make three entries for each recipient bank:
- Bank country; bank key; USD; no entry for payment method; 1
- Bank country; bank key; EUR; no entry for payment method; 2
- Bank country; bank key; no entry for transaction currency; no entry for payment method; 3
Requirements
For cross-bank area posting (several In-House Cash Centers), you have to define which bank area the payments within the route come from. This is carried out in Manually created outgoing payment orders and Automatically created outgoing payment orders
Standard settings
Recommendation
Define how payments should be routed between all In-House Cash Centers. In a particular In-House Cash Center you define the route for forwarding payments to a recipient bank. The route determination settings for all the In-House Cash Centers must ensure that each recipient bank for internal payments has one entry that is identical with the last executing In-House Cash Center. You can check if the settings are complete in the IMG activity Display and Check Routing Settings.
You should define a route for each recipient bank, for all routes, and for all payment methods. You can cover all eventualities by leaving the currency and/or payment method fields for a route blank.
Activities
- Choose the bank area assigned to the In-House Cash Center.
- For each recipient bank, define the criteria for selecting the route.
- Specify the bank country and bank key of the recipient bank. If you do not want to use this route for all payment orders to this recipient bank, enter the specific transaction currency or the special payment method ,for which this route applies.
- You can specify different criteria for each recipient bank.
- Repeat these steps for all In-House Cash Centers.
Business Attributes
ASAP Roadmap ID | 204 | Establish Functions and Processes |
Mandatory / Optional | 2 | Optional activity |
Critical / Non-Critical | 1 | Critical |
Country-Dependency | A | Valid for all countries |
Assigned Application Components
Documentation Object Class | Documentation Object Name | Current line number | Application Component | Application Component Name |
---|---|---|---|---|
SIMG | IHC_CBA_ROUTE_DET | 0 | KFM0000005 | FSCM In-House Cash |
Maintenance Objects
Maintenance object type | C | Customizing Object |
Assigned objects | ||||||
---|---|---|---|---|---|---|
Customizing Object | Object Type | Transaction Code | Sub-object | Do not Summarize | Skip Subset Dialog Box | Description for multiple selections |
V_TBCA_ROUTEDET | V - View | SM30 | Set Route Determination |
History
Last changed by/on | SAP | 20010313 |
SAP Release Created in | 463_20 |