Title Generic payment medium program of Payment Medium Workbench(PMW)> for the creation of payment mediaPurpose The generic payment medium program is based on thePayment medium format.> Payments withPayment methods> assigned to a format (and not to aconventional payment medium program RFFO*) are created with the paymentmedium program. Currently, the payment medium program only creates payment mediawithout documents (for example, data medium files). Associated paymentadvice notes are created with the programRFFOAVIS_FPAYM.>Integration The generic payment medium program is started by the payment program ifthis is stipulated during planning of the payment run. Prerequisites INCLUDE 'FPM_LINK_FBZP' OBJECT DOKU ID TX PARAGRAPH U2 INCLUDE 'FPM_LINK_OBPM' OBJECT DOKU ID TX PARAGRAPH U2 Note to payee If the payment method used has a Note to payee>assigned to it, (see "Payment program settings" / "Payment methods incountry"), reference information is transmitted in the payment mediumaccording to the space available. You can determine the structure ofthe template in the format settings. Furthermore, it is possible tomodify an existing note to payee or to create a new one. Where problemsoccurred in the reference information structure, these are logged sothat the user can make appropriate changes to the note to payee. Proceed> INCLUDE 'FPM_LINK_FPAYV' OBJECT DOKU ID TX PARAGRAPH U2 Selection variant maintenance for creation of paymentmedia>Features Selection The generic payment medium program selects the payment media accordingto different Payment groups>. Payments are groupedtogether in payment groups according to the level of detail thatdetermines how the output of the payment media is to be split (forexample, one payment medium file created per paying company code). Thisgrouping is necessary to start the payment medium program in thebackground via selection variants, that are in turn assigned to paymentgroups, from the payment program. This is explained under "Detailedprocedure".Output Output of the data medium created with the payment medium programoccurs in DME administration>. DME administrationsupports both files stored in the TemSe or file system and paymentmessages like Internet payments (OFX) or IDoc. With formats that create a payment medium accompanying sheet or otherform of print output, these are placed in the Spool>. In addition, an error log and configurable accompanying sheet iscreated for each payment medium program run.Detailed procedure Overview Payment medium creation with payment medium formats involves severallogical steps, some of which take place after creation of a paymentwith the payment program and some of which occur in the individualpayment medium program. Process steps After creation of a payment using the payment program, the followingoccurs:
- Assignment of the payment to a Payment group>,
(depending on the level of detail of the format)
- Creation of the note to payee of the payment (according to the note to
payee assigned to the payment method) During scheduling of the generic payment medium program in the paymentprogram (using program SAPFPAYM_SCHEDULE), the selection variants forthe payment groups of this payment run are read, and the payment mediumprogram is started with the relevant selection variants for eachpayment group. The payment medium program
- Selects the payments of the payment group. The payment data of the
application (REGUH, REGUP) is transferred into a genericcross-application payment data interface (FPAYH, FPAYP, FPAYHX)
- Calls the event modules for creation of the format
- Creates the payment medium file or message
Example The format DTAUS0 for German domestic payment transactions createspayment medium files per house bank (level of detail). The format DTAUS0 is assigned to payment method U in Germany The note to payee SAMPLE is assigned to the payment method U/Germany Selection varaints are maintained for both German house banks: ,,Bank country,,Bank key,,Variant ,,DE,,10020030,,DB ,,DE,,20030040,,DRE A payment run with payments from both house banks is carried out.(Payments are grouped into two payment groups, one for each house bank.The notes to payee of the payments are created in accordance with noteto payee SAMPLE). Payment medium creation is scheduled and carried out. (The paymentmedium program is called twice with the relevant variant, once perpayment group. Once for the payment group DE/10020030 with variant DBand once for the payment group DE/20030040 with variant DRE).
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