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Showing posts with label Cheque Request. Show all posts

Errors & Solutions :

1. While processing SOs cheque request at HO in Tcode ZF110, if it shows error "The difference is too large for clearing" as shown in the above screenshot.

Solution : Remove and re assign the above & below roles to user through respective RDA.

2. If you get "You are not an approver" error.

Solution : Check workflow configuration through tcode ZFWF in divisional login 

In this article, I will be expalining how to create cheque liability or request for any kind of payments like RD withdrawal, PPF withdrawal, PLI payment etc.

When we have to do a payments through cheque, we have to create a cheque request in SAP module. After this request, Treasurer will issue the cheque to customer.

Here is the procedure to create a cheque request in SAP module.
Cheque Liability for Within Office Payments

Go to SAP module. Enter T-code F-02. The below window will appear.


In this window, enter the following details.
Document Date Current Date
Type PB (PB for savings, PL for PLI and RPLI)
Company Code DOPI
Period 6 (September Month)
Pkey 40
Account GL code of Payment (Here I’m taking RD withdrawal GL)
Hit ENTER

Now, you will see the below screen.


Enter Amount 10067(example)


Click on MORE. Now, you should see the below screen.


Here, enter Profit Center Number. Click on ✓ mark. Now you will see the next window.


Pkey 11
Account One time customer GL code(It may vary for circle. Here I have taken it as 1000000294).


Now, hit ENTER. Next window will pop up.


Enter the following details.
Title Mr/Ms
Name xxxx
City xxx
Postal Code 123456


After entering the Postal code hit ENTER button. You will see this window.


Here you have to enter the Amount again.

Go to Document » Click on Simulate as you see in the below screenshot.


Once you have confirmed the amount and GL heads, click on SAVE button.

A Document number will be generated, please note down the number. The Treasurer will issue cheque for the particular payment which will be explained in the next section.

This is how you can create Check Liability within the office for any payments.


Cheque Liability for Sub Office Payments

If Sub Offices are making a payment through cheque then, they have to do one more step along with above mentioned procedure.

After the completion of the above mentioned steps, go to SAP main screen.

Enter T-code ZF110. Below image will pop up.


Customer 100000294 (One Time Customer Number)
Fiscal year 2017
Document No. Enter the generated 10 Digit No.


Click on Submit Request.

Now, SPM has to release this request. So, go to Inbox (SPM inbox) » Workflow » Click on Cheque Request Message » Release and type some message.

Thus cheque request will be going to the concerned Head Post Office/LSG Office. Further process will be carried out at HPO/LSG.

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