The following describes the creation of payment media if you are using the Payment Medium Workbench (PMW).
When you configure the payment program you decide whether you want to use the conventional payment medium programs or the Payment Medium Workbench. You have to make this decision for every combination of country/payment method and sometimes supplement the data.
In Customizing of Financial Accounting, choose Accounts Receivable and Accounts Payable →Business Transactions →Outgoing Payments →Automatic Outgoing Payments → Payment Method/Bank Selection for Payment Program → Configure Payment Methods per Country for Payment Transactions.
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1. On the Change View "Payment Method/Country": Overview screen, call the required combination of country and payment method by double-clicking.
The Change View "Payment Method/Country": Detail screen appears.
2. In the Payment Medium screen area, select the Use Payment Medium Workbench option.
3. In the same screen area enter or check the Format and the Format Supplement, and save your entries.
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1. In the upper screen area choose Use in company codes.
The system displays the Display View "Maintenance of Company Code Data for a Payment Method": Overview screen.
2. Choose the change mode and select your company code by double-clicking on it.
The system displays the Change View "Maintenance of Company Code Data for a Payment Method": Detail screen.
3. Choose Form Data and check or supplement the existing forms for your company code.
4. Save your data and choose Exit.
You return to the Change View "Payment Method/Country": Detail screen.
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1. In the selection tree choose Note to Payee by Origin.
The Change View "Note to Payee by Origin": Overview screen appears.
2. Check or supplement the existing note to payee.
3. Choose Back.
4. You return to the Change View "Payment Method/Country": Detail screen. Save your data.
Creation of Payment Media
Creation of payment media using the Payment Medium Workbench involves several steps.
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1. You decide that you want to use the Payment Medium Workbench for the particular payment method.
2. You check the existing payment medium formats, and make any necessary changes.
3. You configure the note to payee.
4. You maintain the Selection Variants as prerequisite for the automatic scheduling of payment media by the payment program.
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1. You start the payment program and select the option Create payment medium during scheduling of the update run. In the payment run parameters, a variant has only to be defined for the payment advice note print program of the Payment Medium Workbench.
2. Directly following the payment run, the payment balance is sorted automatically and split into groups according to the level of detail, for creation of the payment media in the next step.
3. For each group, the payment medium program is started with the variant defined in Customizing. It selects the payments belonging to each group and creates the payment medium using the format-specific event modules/mapping rules.
4. The payment medium is transferred to DME administration.
5. Parallel to step 3, the payment advice note program creates the necessary payment advice notes as an IDoc, XML file, letter, e-mail or fax, where the last two presuppose the use of Business Transaction Event 00002040.
The Payment Medium Workbench programs create:
● Data media
● Payment advice notes
● Output logs
● Error logs