Table of Content

Objective and Scope 

The purpose of this document is to describe the steps to create a SEPA Mandate in PI1. In order to be compliant with EU regulations, a SEPA mandate has to be available in customer account in order to be able to perform the direct debits payment method.

The SEPA Direct Debit allow a creditor (biller) to collect funds from a debtor's (payer's) account, provided that a signed mandate has been granted by the payer to the biller. A mandate is signed by the debtor to authorize the creditor to collect a payment and to instruct the debtor's bank to pay those collections.

This operating procedure (OP) applies to the account receivables of CICC.

Definitions 

  • SBS: In the current document, “Solvay Business Services” will be replaced by its abbreviation “SBS”.
  • OTC BO AR: Order to cash Back Office Accounts Receivable
  • OTC BO CM: Order to cash Back Office Credit Management
  • OP: Operating procedure
  • WARP: PI system for Worldwide Accounts Receivable and Payable
  • CICC: Coordination Internationale des Crédits Commerciaux

 

 

Creation of new SEPA mandate

 

  • Before creating the mandate, please check if the bank account provided by the customer in the mandate is inserted in the customer master data bank details.
  • For customers which are not German, please check in the following link if the customer bank is adhering to the DD SEPA: http://epc.cbnet.info/content/adherence_database

In order to check if customer bank is working with SEPA, go to customer master data , choose  and click above the IBAN symbol 

 

 

Then copy the SWIFT code and search in the link provided above. In this case customer bank is adhering to the DD SEPA, so we can proceed with the mandate creation. 

If not, customer should be contacted to verify if he works with a bank account which is an adherent of SEPA.

The process in SAP starts with the sending of the Mandate form (check attachments) to the customer which should be filled and signed by them. Then we should create the SEPA mandate in SAP by using transaction FSEPA_M1 in PI1 system.

 

The field’s “Mandate Ref.”, “Customer” and “Paying company code” needs to be filled in to identify the sender and receiver of the mandate as below: 

Click on 

 

 

Select  and on the  ” the status of the mandate, its validity data and some administrative data regarding the signature are stored.

Fill in the following fields as below: 

Status: Active

Valid from: Signature date on the SEPA form sent to customer

Valid to: By defaul 31.12.9999

Trans. Type: N Recurring Use Mandate 

 

 

After go to  tab in which the customer relevant data for a mandate is stored. Just select   and all the data will be filled automatically as below:

 

 

In the   tab contains all the creditor data relevant for the mandate, in this case

the SOLVAY – WARP company code (BE) linked to the mandate (also filled automatically)

Then 

 

 

  • If for any treason, the mandate should be edited, go to transaction FSEPA_M1 with Mandate reference and click on  as below:

  • The payment method in PF1,WP1 and RHO customer masterdata should be updated according the following table:

WP1 PF1 Payment method analysis.xlsx

SEPA_MandateB2C_NL.doc

SEPA_MandateB2C_FR.doc

SEPA_MandateB2C_EN.doc

SEPA_MandateB2C_DE.doc