SAP ABAP IMG Activity SIMG_CFORFBOBXP (Prepare Automatic Posting for Payment Requests)
Hierarchy
BBPCRM (Software Component) BBPCRM
   CRM-MD-BP (Application Component) Business Partners
     FB0C (Package) Financial Accounting customers
IMG Activity
ID SIMG_CFORFBOBXP Prepare Automatic Posting for Payment Requests  
Transaction Code S_ALR_87003242   IMG Activity: SIMG_CFORFBOBXP 
Created on 19981222    
Customizing Attributes SIMG_CFORFBOBXP   Prepare Automatic Posting for Payment Requests 
Customizing Activity SIMG_CFORFBOBXP   Prepare Automatic Posting for Payment Requests 
Document
Document Class SIMG   Hypertext: Object Class - Class to which a document belongs.
Document Name SIMG_CFORFBOBXP    

In this step, you store the following information for entering requests for customer and vendor payments:

  • Posting key for the debit posting or credit posting
  • special G/L indicator. A noted item, that is, a special G/L transaction, that does not result in a balance update on accounts, is identified with this special G/L indicator. You can either use the indicator that is delivered with the standard system or define a new indicator.

    The special G/L indicator you are using here must be entered in the list of the special G/L indicators or the special G/L transactions to be paid. Read the section "Requirements".

A request for payment activates a payment by the payment program. It is paid by the payment program when the due date is reached.

Standard settings

In the standard system, the posting keys 09 and 39 and the special G/L indicator "P" are delivered. Furthermore, the special G/L accounts 198000 or 198100 are provided in the chart of accounts JSAS and the special G/L accounts 266900 and 266950 in the chart of accounts ISCA.

Requirements

If you want a different special G/L indicator to the one used in the standard system, you must create it beforehand.

Furthermore, you must define the corresponding alternative reconciliation account if you create a special G/L transaction with an indicator since an alternative reconciliation account is posted to instead of the normal receivables account or payables account in the case of special G/L transactions.

Read the chapter "Store reconciliation accounts for customer down payments".

Activities

Enter the information necessary for filing requests for payment.

Further notes

In the payment program you must enter the special G/L indicator for requests for payment for every paying company code. For more detailed information on configuring the payment program, please refer to the "Set up payment program" chapter.

Business Attributes
ASAP Roadmap ID 204   Establish Functions and Processes 
Mandatory / Optional 3   Nonrequired 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 SIMG_CFORFBOBXP 0 HLA0001269 O HLA0001279  
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
F30B L - Logical transport object OBXP OBXP Automatic Postings - Posting Keys 
History
Last changed by/on SAP  19981222 
SAP Release Created in