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Refund Process with Open Items in Customer’s Account
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Page 1: Refund Process with Open Items in Customer’s Account.

Refund Process with Open Items in Customer’s Account

Page 2: Refund Process with Open Items in Customer’s Account.

Showcasing the Customer’s Account after the Payment of the Security Deposit

Page 3: Refund Process with Open Items in Customer’s Account.

Showcasing the down payment of Customer’s Account after the Payment of the Security Deposit (FPL9)

Page 4: Refund Process with Open Items in Customer’s Account.

Release security deposit document (T.code: FPSEC2)

Enter security deposit document number (172436) or select with the help of (F4) and press Enter

Page 5: Refund Process with Open Items in Customer’s Account.

Showcasing the Security Deposit document. Click on RELEASE Button to release the Security Deposit Amount

Page 6: Refund Process with Open Items in Customer’s Account.

Click in YES button to completely release the Security Deposit amount

Page 7: Refund Process with Open Items in Customer’s Account.

Showcasing Account Balance Display After the Security Deposit is Full Released and is posted with Unique Document Number

Page 8: Refund Process with Open Items in Customer’s Account.

Use T-Code FPE2M,change security deposit document number and assign payment method. Enter Contract Account of the Customer along with the

Document Number(generated after releasing security deposit)

Page 9: Refund Process with Open Items in Customer’s Account.

T.code: FPE2M, Enter the Payment Method “ C ” for the Refundable Amount or select through F4

Page 10: Refund Process with Open Items in Customer’s Account.

Selecting payment method (C) through F4.payment method C is for outgoing Cheque payment for refunding security

deposited in consumer’s account

Page 11: Refund Process with Open Items in Customer’s Account.

After selecting payment method SAVE security deposit document

Page 12: Refund Process with Open Items in Customer’s Account.

Use T-code FPY1 for Refund. Enter Date ID, Identification, Contract Account of the Customer, Company Code, Due Date and Payment Method.

Page 13: Refund Process with Open Items in Customer’s Account.

Enter “ Selection ID as PSPL ” in Bank Selection Tab

Page 14: Refund Process with Open Items in Customer’s Account.

Showcasing the Bank Data in the Bank Selection Tab for the Selection ID PSPL

Page 15: Refund Process with Open Items in Customer’s Account.

Enter object “VKONT” in technical settings tab.

Page 16: Refund Process with Open Items in Customer’s Account.

Select Additional Information in Problem Class and Select all the Check Boxes present in Additional Log in the Log Tab. Click on “ SAVE “ Button. After

Saving “ Click on SCHEDULE PROGRAM RUN “ button

Page 17: Refund Process with Open Items in Customer’s Account.

Click on Environment Button and select the Payment List

Page 18: Refund Process with Open Items in Customer’s Account.

Click on EXECUTE Button to view the List of Payment

Page 19: Refund Process with Open Items in Customer’s Account.

Showcasing the transactions done in the Customer’s Account. Double Click on the Refundable Amount Document.

Page 20: Refund Process with Open Items in Customer’s Account.

Showcasing the Refundable amount with no Check number

Page 21: Refund Process with Open Items in Customer’s Account.

Showcasing Refundable Amount is Refund to the Customer via Check as mode of Payment. Enter Document and the Check Number. T.code: FPCH1

Page 22: Refund Process with Open Items in Customer’s Account.

To print and to update cheque number, select “print check” under document tab

Page 23: Refund Process with Open Items in Customer’s Account.

Showcasing the Refundable amount is Refund to the Customer with Check and it is posted in respective Head

Page 24: Refund Process with Open Items in Customer’s Account.

Showcasing the Customer’s Account balance after refunding security deposit.