This OP explains how to handle Compensations between Customer and Vendor accounts whenever there is a previous agreement between both parties.
There might be three different triggers for the Compensation to occur:
Compensation Legal Requirements:
For local compensations (customers not assigned to CICC), we should use document type S1 |
This chapter is related to the compensation which is performed recurrently between customers and vendors accounts with previous agreement with Solvay.
The first thing to do is to access the following file and check which customers and vendor have items to compensate and the Solvay Companies in the scope.
Then, we can proceed with the compensation according to chapter "Compensation clearing".
This chapter is related to the compensation which is performed between customers and vendors from company 3865 - SOLVAY ENERGY S FR.
The first thing to do is to access the following file and check if there are invoices issued for customers (use FBL5N transaction) and insert the amounts in the file.
After this, an email should be sent to ses-middle@solvay.com asking if there are new customer invoices to be posted. At the same time PtP FO Provisioning Specialist (Laeticia Chapus) should do the same exercise and fill the vendor invoices amounts in the same file so that AR team can verify in which cases a compensation can be executed.
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As soon as we have the confirmation from SES and from PtP Front Office (Laeticia Chapus) and from PtS SC that all customer and vendor invoices are issued, we should proceed with the compensation as described in the chapter "Compensation clearing".
For other compensation scenarios please check chapter "Manual Compensations" |
There are some situations in which we are not able to use transaction ZFA_COMPENSATION due to transaction requirements and should be executed differently. Find below the possible scenarios:
For the two first scenarios, we can use F-32 transaction to perform the compensation clearing as below: