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Processing Returned Debit Memos 
Purpose
This process describes how the electronic account statement processes returned debit memos.
The file that the electronic account statement imports contains a returned debit memo. The returned debit memo has an amount, comprising of the debit memo amount and bank charges. In addition to the business transaction code, a reason for the returned debit memo is often specified. The note to payee contains the bank collection payment document.
Prerequisites
If the format that you use does not have these fields, use the Business Add-In (BADI) for returns processing. The BADI is also in Customizing for the electronic account statement.
If the note to payee contains the document number, the electronic account statement can find the payment document in the note to payee, carry out clearing, and change the open item.
If the note to payee does not contain the document number, use the functional enhancement for the electronic account statement delivered with the standard, and enter the document number in table T_FEBCL.
Process Flow

In the following cases, you cannot reset clearing:
Processing terminates and you have to change the posting rule in postprocessing. The changed posting rule is then posted without clearing reset or a document change.
If one of these cases occurs frequently, deselect the field Reset Clearing in Customizing.
Example
Activities for posting a returned debit memo






