對客戶又是供應商的客戶清賬處理

harson發表於2009-07-06
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Fist Step

The customer number must be entered in the corresponding vendor master record
a. FK02->General Data -> Control
In the 'Account control' tab, in the 'Customer' field, enter the customer number

b. In the Company Code Data --&gt Payment Transaction Accounting, select the checkbox - 'Clrg with Cust'(LFB1-XVERR)

Second Step

The vendor number must be entered in the corresponding customer master record
a. FD02->General Data -> Control
In the 'Account control' tab, in the 'Vendor' field, enter the vendor number

b. In the Company Code Data --&gt Payment Transaction Accounting, select the checkbox - 'Clearing with vendor' (KNB1-XVERR)

Third Step

For testing, create a vendor invoice through FB60 and customer invoice through FB70. Note that customer and vendor are properly selected.

Fuorth Step

To see the vendor/customer balance both together use FBL1N/FBL5N, when you execute FBL1N select customer check box, when you execute FBL5N select vendor check box along with open item/cleared item check box

Fifth Step

For clearing the open items. Use the TCode F-32. On clicking the 'Process open Items', the vendor invoice (KR) and customer invoice (DR) are shown automatically. It will generate the FI document with proper entry.

Note: Partial / Residual payment between customer and vendor is also possible

來自 “ ITPUB部落格 ” ,連結:http://blog.itpub.net/195776/viewspace-1023828/,如需轉載,請註明出處,否則將追究法律責任。

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