FPM1 Dunning - : Read The Document: 313121576-SAP-Collections-and-Disbursement-PDF-1
FPM1 Dunning - : Read The Document: 313121576-SAP-Collections-and-Disbursement-PDF-1
FPM1 Dunning - : Read The Document: 313121576-SAP-Collections-and-Disbursement-PDF-1
FS-CD Insurance Solution Tcodes List: | — Installment Plan | |—– FPY1 Payment run/debit memo run
| || | |– Dunning
|– Partner/Acct Maintenance | |—– FPR1 Create |||
|| | |—– FPR2 Change | | |—– FPM1 Dunning
| |—– FPP1 Create Partner | —— FPR3 Display | | |—– VYM5 Dunning History: Contract
| |—– FPP2 Change Partner | | | |—– FPM3 Dunning History Items
| |—– FPP3 Display Partner |– Posting Totals | | —— VYM8 Check Dun.Proc. w/Incomin
| |—– CAA1 Create Account || || Payments
| |—– CAA2 Change Account | |—– FPF1 Create Reconciliation Key | |—– FPI1 Interest Calculation
| |—– CAA3 Display Account | |—– FPF2 Change Reconciliation Key | |– Autom. Sales Clearing
| |—– VXVB Maintain Contract No. | |—– FPF3 Display Reconciliation Key |||
| |—– FPL9 Display Line Items | —— VY05 Lists | | |—– FP05 Edit Payment Lot
| —— FP06 Clear Documents | | | —— VY14 Triggered Sales Clearing
| |– Contracts ||
|– Posting || | |– Invoicing
|| | |—– VXVA Contract Info |||
| |—– FPE1 Post Document | |—– FPL9 Display Line Items | | |—– VY17 From Debit Entries
| |—– FPE2 Change Document | —— FP06 Clear Documents | | |—– VY16 By Period
| |—– FPE3 Display Document | | | |—– VY27 Print Documents
| |—– FP08 Reverse Document |– Periodic Processing | | —— UY56 Invoicing History
| |—– FP06 Clear Documents || ||
| |—– FP05 Edit Payment Lot | |– Transfer Posting Data | |—– FPCO Correspondence
| |—– FP25 Process Check Lot ||| | |– Information System
| |– Returns | | |—– VY04 Data Transfer |||
||| | | |—– VXF1 Invoice Transfer | | |—– F.99 Report Selection
| | |—– FP09 Edit Return Lot | | |—– VYSP Debit Transfer | | |– Set Up
| | —— FPM4 Returns History | | |—– SM37 Job Overview ||||
|| | | |—– VY13 DME Transfer, AT | | | |—– OBAN Specify Data Volume
Very good website for tcodes | | —— VXH1 G/L Data Collection | | | |—– OBAJ Select Evaluations
https://sapebooks.com/tcodes/sap/fpe1-post-document/ | | | —— F.29 Create Evaluations
* Read the document: 313121576-SAP-Collections-and-Disbursement-PDF-1 |||
* http://www.infosysblogs.com/sap/2012/03/how_the_insurance_companies_ca.html
ABAP Debugging:
You could use /H for activate Debugger
Use could use SE38 and select debugger
Create BreakPoints
http://www.infosysblogs.com/sap/2012/03/how_the_insurance_companies_ca.html
Y1 Payment run/debit memo run | | —— F.30 Display Evaluations | | | |—– FQP1 Payment Methods
|| | | | |—– FQP4 Company Code Details
| |—– VYZ7 EA Commission | | | —— FPY3 Copy Template
FPM1 Dunning | |—– VYZ8 VTG Interface |||
VYM5 Dunning History: Contract | |—– VYZ9 Clarif. Cases -> Workflow | | |– Dunning
FPM3 Dunning History Items | —— FP20 Check Deposit List ||||
VYM8 Check Dun.Proc. w/Incoming | | | | |—– FQM1 Dunning Procedure
— Customizing | | | |—– FQM9 Charges
I1 Interest Calculation | | | | |—– FQM5 Dunning Grouping
m. Sales Clearing |—– VY6Z IMG (IS-IS/CD) | | | |—– FQM6 Dunning Lock Reasons
|– VKK1 Trans. Cust.: IS/CD | | | |—– FQM8 Dunning Procedure Category
FP05 Edit Payment Lot || | | | |—– FQM7 Dunning Level Category
VY14 Triggered Sales Clearing | |– Basic Data | | | |—– FQM4 Dunning Charge Category
||| | | | —— FQM0 Define Dunning Activities
| | |– Basic Settings |||
|||| | | |– Interest
VY17 From Debit Entries | | | |—– FQ00 Technical Settings ||||
VY16 By Period | | | |—– FP00 Application Area | | | |—– FQI1 Interest Key
VY27 Print Documents | | | —— FQ04 User Settings | | | —— OBI1 Interest Calculation Rule
UY56 Invoicing History ||| |||
| | |—– SPRO IMG | | |– Returns
CO Correspondence | | |—– FPN2 Account Number Ranges | | | |
mation System | | |—– FPN1 Document Number Ranges | | | |—– FQR1 Returns Reason
| | |—– FPN3 Repayment Number Ranges| | | |—– FQR3 Assign Return Reason
F.99 Report Selection | | |—– FQC0 Account Determination | | | —— FQR2 Clearing Accounts
| | |—– FQKP Line Layout |||
| | |—– FQKP Field Selection | | |– Correspondence
– OBAN Specify Data Volume | | |—– FQKP Fast Entry
– OBAJ Select Evaluations | | |– Pay F-03 Manual Clearing
F.29 Create Evaluations |||| F-12 Auto. Clearing
| | | |—– FQP3 Formats
| | | |—– FQP5 Note to Payee
was problem - Resolution: to create a new contract account and bring the account together
ing the reconciliation, it was not done, so errored out stating there is no such GL account.
ounting takes place in a separate SAP system, a GL must still be configured in the other
nt. Requirements, Spec, test data, debug, changes to program, test, sign-of
F-28 - Post Incoming Payments FI - Financial Accounting
FPCJ - cash Journal FI - Contract Accounts Receivable and Payable
F-32 - Clear Customer FI - Financial Accounting
VOV5 - Table TVEPZ Assign Sched.Line Cat. SD - Basic Functions
DSMOP - SAP Solution Manager Service - Solution Directory
ICTCONF - Configuration: SM SD Interface Service - Service Desk/Incident Ma
DSWP_SAPSHORTCUT - Start Transaction from SAPSHORTCUT S
S_ALR_87012173 - List of Customer open Items Cross Application - Cross-A
S_ALR_87012168 - Due Date Analysis for open Items Cross Application -
SART - Display Report Tree Basis - Report Tree
FPB0 - Post Payment FI - Contract Accounts Receivable and Payable
FPCD - Post Payment FI - Contract Accounts Receivable and Payable
OT83 - Basic Settings for the El.Bank St. Financials - Basic Functions
FEBC - Generate Multicash format Financials - Basic Functions
GMGRANT - Grant Master - Single Screen PSM - Master Data
FF-5 - CMF Records fr.Materials Management Financials - Basic Functions
GMS5 - GM BDT Screens PSM - Master Data
FPMA - Automatic Clearing FI - Contract Accounts Receivable and Payable
FCHI - check lots FI - Financial Accounting FP07 - Reset Clearing FI - Contract Accounts Receivable and Payable
FCH5 - Create check Information FI - Financial Accounting FBCJ cash journal FIGL
FCHN - check Register FI - Financial Accounting FPCC display cash desk closing
FCH6 - Change check Information/Cash check VYSPA (Posting run)
FI - Financial Accounting
FPY1 - Payment Run / Debit Memo Run FI - Contract Accounts Receivable and Payable
VPVA - A dunning proposal is created
MD25 - Create Planning Calendar PP - Master Data VPVB - dunning activities, printing of the dunning notice are carried out
FP25 - Process check lot FI - Contract Accounts Receivable and Payable
FQEVENTS- FICA transaction which enables navigation to customization poi
FP05 - Process Payment lot FI - Contract Accounts Receivable and Payable
WE19 IDOC processing
FP09 - returns FI - Contract Accounts Receivable and Payable
WE02 Display IDoc
VRRE - returns Delivery for RMA Order SD - Sales WE05 IDoc Lists
QF01 - Record defect data QM - Results Recording WE06 Active IDoc monitoring
FP45 - Process Payment Order lot FI - Contract Accounts Receivable and Payable
WE07 IDoc statistics
FPBMC - Select MultiCash Conversion Program WE14 Test Outbound Processing
FI - Contract Accounts Receivable and Payable
FPB5 - returns lot Transfer FI - Contract Accounts Receivable and Payable
WE15 Test Outbound Processing from MC
WE16 Test Inbound File
WE17 Test Status File
WE18 Generate Status File
WE19 Test tool
SWDD Workflow Builder
SWDD_CONFIG Workflow configuration
SBWP The Business Workplace
SWDM Business Workflow Explorer
Receivable and Payable FI-CA
ces - Collections/Disbursements
es - Claims Management
ctions/Disbursements
le and Payable
. SD - Basic Functions
Service - Service Desk/Incident Managment
from SAPSHORTCUT Service - Solution Directory
tems Cross Application - Cross-Application Components
pen Items Cross Application - Cross-Application Components
ble and Payable
able and Payable
ncials - Basic Functions
Basic Functions
PSM - Master Data
nt Financials - Basic Functions
Receivable and Payable
able and Payable
e are carried out
gation to customization points within the solution
Month End
Update Exchange Rates
Financial Statement
Open New Period in FI
1. All the expenses including amortization, prepaid expenses, Preliminary expenses and accruals have been booked.
5. Ensure that all documents related to MM & SD have been entered in system. (T.Code:F-22 & F-43) 6. Ensure that a
8. Technically complete all process orders which are fully processed (CORM).
10. Settle all process orders which are technically complete (CO88).
14. Depreciation Run (AFAB) has been carried out for the month
15. Close FI Posting period after the month end closing activity is over (T.Code:OB52)
Year End
Create Factory Calendar for New Year
Year end
Closing Activities:
2. Carry out Assessment cycle for Cost Centers (T. Code: KSUB)
s to be Completed 4. Carry Forward Balances to next year With TC: F.16 we can carry fo
expenses, Preliminary expenses and accruals have been booked. 3 - MM period close and open - MMPV
4 - FI period open
ave been entered in system. (T.Code:F-22 & F-43) 6. Ensure that all bill 7 - Bank Reconciliation
30 - Reclassification of GL balances
33 - Transfer to FI - 1KE8
ange for Assets -->AJRW
ger -->F.16/FAGLGCTR
stomers -->F.07
ear -->OBH2
be carried out.
ith TC: F.16 we can carry forward the balance to next year. With TC: OBH2 copy the number ranges to next year Open next year periods by
items - F.05
warehouse - FB50
Main CC - KSU5
SBU CC - KSU5
nvoicedu201D - VF03
Only) - 2KES
year Open next year periods by selecting the Posting Period Variant. then test by posting the transaction in F-02)