Authorizations & Roles
Author(s) |
Verification |
Approval |
Paula Simões |
Tiago Rodrigues |
Claudrik Darnet |
26/11/2015 |
09/08/2016 |
07/09/2016 |
Version Control
Version |
Date |
Description |
01 |
07/09/2016 |
|
Table of contents
1 Objective and Scope
1.1.1 Objective of this Procedure
1.1.2 Scope
2 Reference Documents
3 Definitions
4 Doubtful procedure
4.1 Customers assigned to CICC
4.1.1 Convert an invoice into doubtful status
4.1.2 Receive a payment for a doubtful document
4.1.3 Create a provision
4.1.4 Cancel a provision
4.1.5 Write-off
4.2 Customers not assigned to CICC
4.2.1 Convert an invoice into doubtful status
4.2.2 Receive a payment for a doubtful document
4.2.3 Create a provision
4.2.4 Cancel a provision
4.2.5 Write-off
4.3 Doubtful procedure for items with recourse from old Factoring Companies 5763/5976
4.3.1 Convert an invoice into doubtful status
4.3.2 Create a Provision
4.3.3 Cancel a Provision
4.3.4 Write-off
4. Appendix
This OP describes how to manage all requests concerning doubtful customers. All the stages of a doubtful customer process have special procedures and specific postings are described in this procedure. Depending on the situation of each invoice, different actions are to be taken in the SAP system.
This operating procedure (OP) applies to the Receivables of Solvay Companies Worldwide.
If, for some reason, there is a risk of not collecting the payment regarding a receivable, the contract must be converted into doubtful status. The decision of putting a contract in a doubtful status belongs to Credit Management team, who should send their request to OtC AR mailbox to proceed as described in this OP.
Mandatory Requirements:
AR team will need to assure that the all requests follow the next requirements:
Warning: OtC AR team is only authorized to perform any posting regarding doubtful procedure when Credit Manager sends the attached template with all the information filled in:
In order to convert a receivable to doubtful for an assigned customer to CICC, we should use transaction F103 and choose the following variant:
Afterwards, insert the following fields:
Then click on
. The following screen appears:
Warning: This transaction only creates a batch input. To post this conversion on the customer's account, this batch must be executed.
Open transaction SM35:
In this screen select the line of the batch to be executed (the line has text: SAPF103 and has your user in "Created by" field).
Click on the
button and the following screen appears:
Select the "Background" option, press on the
button and then press Enter several times until the batch status changes into "Processed"
On customer account the invoice is transferred from g/l 2200000000 to 2270000000 - Doubtful trade receivables and a DO document will be open with a special indicator "O" as below:
The information will be replicated automatically to local ERP (WP1 or PF1) and posted on customer account with special g/l indicator "D" under accounts 2270000000 if PF1 and 41100300 if WP1.
Warning: If a payment is received for a document which is settled with doubtful status, local system should be checked before clearing it since a provision can be already created in local system. This should be cancelled – follow the instruction in chapter 4.1.4. "Cancel a provision".
Select the payment normally in FEBA or F-32 transactions and select the invoice to be cleared.
See example below:
On customer account, the DO will be cleared with the DZ (or AB) document. See below:
Warnings:
Open FB05 transaction in local system
The fields should be filled as below:
Document and Posting date: Request date
Document type – See below the document types distribution by center:
Currency – Currency of the invoice
Reference - Doubtful
Doc. Header Text – Case XXXXX
PstKy: 50
Account: 2271000008 for PF1/ 49100300 for WP1
Click on Enter. The following screen pops-up:
Fill the fields as below:
Amount
Business area: In PF1, insert the BA of original document
Assignment: Document number
Text: Doubtful_ Customer number_ Document number
Then click on
and insert as below:
Transactn Type: ![]()
Partner: Customer number (local system)
Then debit g/l account 98340400 for WP1 and 6330000000 for PF1 as below:
Amount, Cost center, Assignment and Text field should be filled with the same info as in the previous screen.
For the cost center field for WP1, we can use the following file:
https://docs.google.com/spreadsheets/d/1T
D7tjzABrAuybKEwR4UVOwiA0fqZ1Xcu8xPwEdhwvA0/edit#gid=0
In case of doubts or if you cannot find the cost center, please send an email to CAM according to the list below:
http://teamsites.solvay.com/sites/DCFI-CC-GAC/Lists/List%20of%20Companies%202008/AllItems.aspx
For the cost center for PF1, we should check transaction KS03
Choose "CHEF" and
Cost Center: *d*850 (3 first digits of the business area)
Cost Center category: r
Then choose the one for the company code you are posting and the one with fewer digits. Example:
Warnings:
2271000008 and 6330000000 for PF1 and 49100300 and 98340400 for WP1, we should request CAM confirmation if the provision was created and in which g/l account (use the original account when cancelling the provision). Follow this link to find the correspondent CAM: http://teamsites.solvay.com/sites/DCFI-CC-GAC/Lists/List%20of%20Companies%202008/AllItems.aspx
Open FB05 transaction in local system
The fields should be filled as below:
Document and Posting date: Request date
Document type – See below the document types distribution by center:
Currency – Currency of the invoice
Reference - Doubtful
Doc. Header Text – Case XXXXX
PstKy: 40
Account: 2271000008 for PF1/ 49100300 for WP1
Fill the fields as below:
Amount
Business area: In PF1, insert the BA
Assignment: Document number
Text: Doubtful_ Customer number_ Document number
Then click on
and insert as below:
Transactn Type:
Partner: Customer number (local system number)
Then credit g/l account 6331000000 for PF1 and 98340450 for WP1 as below:
Amount, BA, Cost center, Assignment and Text field should be filled with the same info as in the previous screen.
For the cost center field for WP1, we can use the following file:
https://docs.google.com/spreadsheets/d/1TD7tjzABrAuybKEwR4UVOwiA0fqZ1Xcu8xPwEdhwvA0/edit#gid=0
In case of doubts or if you cannot find the cost center, please send an email to CAM according to the list below:
http://teamsites.solvay.com/sites/DCFI-CC-GAC/Lists/List%20of%20Companies%202008/AllItems.aspx
For the cost center field for PF1, we should check transaction KS03
Choose "CHEF" and
Fill the fields below:
Cost Center: *d*850 (3 first digits of business area)
Cost Center category: r
Then choose the one for the company code you are posting and the one with fewer digits. Example:
Warnings:
Transaction Z3F_FA_BAD_DEBT_WO in PI1 is customizied to work only with a debit balance, however there might be the need to apply the doubtful procedure in a credit balance, therefore these two situations are described below:
Debit balance
Use Z3F_FA_BAD_DEBT_WO transaction:
You can search by customer number or document or run the transaction with no info in the fields and it will show all open doubtful contracts.
Example without selection options:
In this case all customers having doubtful contracts will be open and it is possible to select the items by selecting the line. However two validations are defined in the transaction:
Open FB05 transaction in local system
The fields should be filled as below:
Document and Posting date: Request date
Document type – See below the document types distribution by center:
Currency – Currency of the invoice
Reference - Doubtful
Doc. Header Text – Case XXXXX
PstKy: 50
Account: 2271000008 for PF1/ 49100300 for WP1
Click on Enter. The following screen pops-up:
Fill the fields as below:
Amount
Business area: In PF1 insert the BA of original document
Assignment: Document number
Text: Doubtful_ Customer number_ Document number
Then click on
and insert as below:
Transactn Type: ![]()
Partner: Customer number (local system)
Then debit g/l account 98340400 for WP1 and 6330000000 for PF1 as below:
Amount, Cost center, Assignment and Text field should be filled with the same info as in the previous screen.
For the cost center field for WP1, we can use the following file:
https://docs.google.com/spreadsheets/d/1TD7tjzABrAuybKEwR4UVOwiA0fqZ1Xcu8xPwEdhwvA0/edit#gid=0
In case of doubts or if you cannot find the cost center, please send an email to CAM according to the list below:
http://teamsites.solvay.com/sites/DCFI-CC-GAC/Lists/List%20of%20Companies%202008/AllItems.aspx
For the cost center for PF1, we should check transaction KS03
Choose "CHEF" and
Cost Center: *d*850 (3 first digits of the business area)
Cost Center category: r
Then choose the one for the company code you are posting and the one with fewer digits. Example:
Warnings:
2271000008 and 6330000000 for PF1 and 49100300 and 98340400 for WP1, we should request CAM confirmation if the provision was created and in which g/l account (use the original account when cancelling the provision). Follow this link to find the correspondent CAM: http://teamsites.solvay.com/sites/DCFI-CC-GAC/Lists/List%20of%20Companies%202008/AllItems.aspx
Open FB05 transaction
The fields should be filled as below:
Document and Posting date: Request date
Document type – See below the document types distribution by center:
Currency – Currency of the invoice
Reference - Doubtful
Doc. Header Text – Case XXXXX
PstKy: 40
Account: 2271000008 for PF1/ 49100300 for WP1
Fill the fields as below:
Amount
Business area: In PF1 insert the BA
Assignment: Document number
Text: Doubtful_ Customer number_ Document number
Then click on
and insert as below:
Transactn Type:
Partner: Customer number (local system number)
Then credit g/l account 6331000000 for PF1 and 98340450 for WP1 as below:
Amount, BA, Cost center, Assignment and Text field should be filled with the same info as in the previous screen.
For the cost center field for WP1, we can use the following file:
https://docs.google.com/spreadsheets/d/1TD7tjzABrAuybKEwR4UVOwiA0fqZ1Xcu8xPwEdhwvA0/edit#gid=0
In case of doubts or if you cannot find the cost center, please send an email to CAM according to the list below:
http://teamsites.solvay.com/sites/DCFI-CC-GAC/Lists/List%20of%20Companies%202008/AllItems.aspx
For the cost center field for PF1, we should check transaction KS03
Choose "CHEF" and
Fill the fields below:
Cost Center: *d*850 (3 first digits of business area)
Cost Center category: r
Then choose the one for the company code you are posting and the one with fewer digits. Example:
Warnings:
Open F-32 transaction in local system with special indicator "D" as below:
Enter
Select the invoice
Go back
Insert Posting Key 40 and the g/l account for the loss according to the SAP system:
PF1 - ![]()
WP1 -
Then click on Enter
Insert * in the Amount field, the business area related (for PF1) and the cost center.
Save
For the cost center field for WP1, we can use the following file:
https://docs.google.com/spreadsheets/d/1TD7tjzABrAuybKEwR4UVOwiA0fqZ1Xcu8xPwEdhwvA0/edit#gid=0
In case of doubts or if you cannot find the cost center, please send an email to CAM according to the list below:
http://teamsites.solvay.com/sites/DCFI-CC-GAC/Lists/List%20of%20Companies%202008/AllItems.aspx
For the cost center for PF1, we should check transaction KS03
Choose "CHEF" and
Cost Center: *d*850 (3 first digits of the business area)
Cost Center category: r
Then choose the one for the company code you are posting and the one with fewer digits. Example:
For documents from old Factoring codes 5763/5976 with recourse (meaning financial responsibility on affiliate side) or never assigned to CICC, the procedure to follow is to clear as loss in Cc 5763 (check old procedure for 5763) and have the invoice in doubtful status and a provision created in affiliate as below:
In order to convert a receivable to doubtful, we should use transaction FB05 and follow the steps below:
Document date: Today's date
Type: S1 in PF1 and SB in WP1
Company code
Currency
Then click on "Choose open items", insert customer number and select the invoice which should be posted in doubtful status.
Then go back and insert the following data as below:
PstKy: 09
Acccount: Customer Number
SGL Ind: D
Click on Enter
In the following screen insert the informations below:
Amount: Invoice amount
Due on: Today's date
Assignment: Document number
Text: Doubtful_Customer number_ Invoice number
Click on Save
Warnings:
The fields should be filled as below:
Document and Posting date: Request date
Document type – See below the document types distribution by center:
Company code
Currency – Currency of the invoice
Reference - Doubtful
Doc. Header Text – Case XXXXX
PstKy: 19
Account: Customer number
SGL Ind: M
Click on Enter
![]()
Fill the fields as below:
Amount
Bus. Area
Due on: Request date
Assignment: Document number
Text: Doubtful_ Customer number_ Document number
Then Debit g/l account 6330000000 as below:
Amount, BA, Cost center, Assignment and Text fields should be filled with the same info as in the previous screen.
For the cost center in PF1, we should check transaction KS03
Choose "CHEF" and
Cost Center: *d*850 (3 first digits of the business area)
Cost Center category: r
Then choose the one for the company code you are posting and the one with fewer digits. Example:
Warnings:
2271000008 and 6330000000 for PF1 and 49100300 and 98340400 for WP1, we should request CAM confirmation if the provision was created and if yes, ask in which g/l account. Follow this link to find the correspondent CAM: http://teamsites.solvay.com/sites/DCFI-CC-GAC/Lists/List%20of%20Companies%202008/AllItems.aspx
FB05 transaction
The fields should be filled as below:
Document and Posting date: Request date
Document type – See below the document types distribution by center:
Company code
Currency – Currency of the invoice
Reference - Doubtful
Doc. Header Text – Case XXXXX
PstKy: 09
Account: Customer number
SGL Ind: M
Click on Enter
Fill the fields as below:
Amount
Bus. Area
Due on: Request date
Assignment: Document number
Text: Doubtful_ Customer number_ Document number
Then credit g/l account 6331000000 as below:
Fill the fields as below:
Amount
Bus. Area
Cost center
Assignment: Document number
Text: Doubtful_ Customer number_ Document number
For the cost center in PF1, we should check transaction KS03
Choose "CHEF" and
Cost Center: *d*850 (3 first digits of the business area)
Cost Center category: r
Then choose the one for the company code you are posting and the one with fewer digits. Example:
Warnings:
Before the write-off, we should clear the provision with the cancellation in F-32 as below:
Special GL M selected.
Save
Afterwards, open F-32 transaction in local system with special indicator "D" as below:
Enter
Select the invoice
Go back
Insert Posting Key 40 and the g/l account for the loss according to the SAP system:
PF1 - ![]()
WP1 -
Then click on Enter
Insert * in the Amount field, the business area related (for PF1) and the cost center.
Save
For the cost center field for WP1, we can use the following file:
https://docs.google.com/spreadsheets/d/1TD7tjzABrAuybKEwR4UVOwiA0fqZ1Xcu8xPwEdhwvA0/edit#gid=0
In case of doubts or if you cannot find the cost center, please send an email to CAM according to the list below:
http://teamsites.solvay.com/sites/DCFI-CC-GAC/Lists/List%20of%20Companies%202008/AllItems.aspx
For the cost center for PF1, we should check transaction KS03
Choose "CHEF" and
Cost Center: *d*850 (3 first digits of the business area)
Cost Center category: r
Then choose the one for the company code you are posting and the one with fewer digits. Example:
End of document