Announcement:
wanna exchange links? contact me at sapchatroom@gmail.com.
Posted by
Admin at
Question from KapilMehta on Jun 18 at 10:23 AM We are implementing EBS in India Company codes using Citibank BAI2 format. How can we handle NEFT Rejections using EBS functionality ? NEFT Rejections means :- Company tries to pay its vendors by Bank transfer, but due to some reasons payment could not be done to vendor bank account. So bank includes credit in EBS file. Current Process for NEFT Rejections :- F110 creates ZP Accounting document which clears Vendor Invoice [ Day 1 ] Dr Vendor Cr EFT Clearing GL Manual Bank reconciliation creates BR Accounting document [ Day 2 ] Dr EFT Clearing GL [ Clears above GL Line item ] Cr Cash gl account Day 3, Citibank sends NEFT Rejections in email. Details include 'Customer Reference field' which has combination of CompanyCode & ZP Document #. Business user manually finds vendor number and posts following entry - Document type KE [ Day 3 ] Cr Vendor Dr EFT Clearing gl account Above process of creating KE document is a manual step. My Client does not use EBS right now. End objective is:- 1. GL accounts [ Main bank and Sub-accounts ] should be updated since payment did not happen. 2. Vendor Invoice should either be opened again OR a new Credit should be posted to vendor account But Using EBS, how can I meet requirement for NEFT Rejections ? Please provide feedback. -Thanks Kapil | Reply to this email to post your response. __.____._ | _.____.__ |