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  • Generated by Jive on 2016-02-07+01:001

    How to treat Customer as a Vendor

    Dear all,

    I would like to explain how to treat customer as a vendor and settle business transactions

    We have to ensure following activities in SAP, in order to ensure that the customer and vendor are correlatedand function correctly

    1. Ensure Customer and Vendor Master Data are linked2. Open Items are existing i.e. booked as a customer and vendor separately3. Document Type of Customer Receipt allows settlement with vendor (Type K)4. Clearing is done considering open items of Customers and Vendors together5. Automatic Payment program Requirement in order to ensure that the links APP picks

    customer and vendor open line items together

    Let us have a look into details of each step mentioned above:-

    Customer Master linkage to vendor, T.Code xd02 --> Select customer --> Control Data Tab --> Enter thevendor number to which it is to be linked

    Go To XK02, Enter Vendor Number --> Control Tab --> Enter the Customer number (Generally it comesautomatically once you link the same vendor in Customer Master)

  • How to treat Customer as a Vendor

    Generated by Jive on 2016-02-07+01:002

    Existence of open items can be checked in FBL5N --> Customer Code -> Open Items (Please select Normalitems and Vendor Line items which will also show all the open items of vendors which have been linked above)

  • How to treat Customer as a Vendor

    Generated by Jive on 2016-02-07+01:003

    We can see below open items which are in existence on account of customer and vendor

  • How to treat Customer as a Vendor

    Generated by Jive on 2016-02-07+01:004

    Now well try to receive differential amount (Amt. Rs 100) after settling Rs. 112 (receivable asCustomer) and Rs. 12 (Payable as Vendor). Key things to be considered (T.Code F-28 CustomerReceipt) are:-

    1. 1. Please select Other Accounts check box which helps to select open items of otherAccount type, other than the account type selected (D in our case)

    2. Once done, please select Process open items which will pop up a screen wherein linkedvendor data is to be entered (Standard OIs depict checkbox ensures that special GLitems will not come in open items). Press enter once done

    3. Note - Please ensure that the document type used has Vendor allowed in Account type (T.CodeOBA7 --> Select Document type (DA in our case) --> ensure that Vendor checkbox is selected(Screenshot below)

  • How to treat Customer as a Vendor

    Generated by Jive on 2016-02-07+01:005

    Select line items which are to be cleared and press save. Please note that Rs. 112 was on account of customerand Rs 12 was on account of vendor (which is linked through respective master data). It will show a bankreceipt of Rs. 100 and clear both customer and vendor line items

  • How to treat Customer as a Vendor

    Generated by Jive on 2016-02-07+01:006

    Let us have a look at the Customer line items post bank receipt. Please ensure that Vendor checkbox is tickedin T.Code FBL5N

  • How to treat Customer as a Vendor

    Generated by Jive on 2016-02-07+01:007

    Now we can see that both customer and vendor line items are cleared, with same clearing document

  • How to treat Customer as a Vendor

    Generated by Jive on 2016-02-07+01:008

    Automatic Payment Program In case we want to link customers to vendors while running APP,following master data changes are required in customer and vendor as shown in the belowscreenshots

    Please go through the standard F1 help which is available on the screenshot below when F1 ispressed on Clearing with Vendor checkbox

  • How to treat Customer as a Vendor

    Generated by Jive on 2016-02-07+01:009

    Hope this helps !

    Best RegardsNishu