Purpose With this transaction, you can display the split view of open items andchoose the specific account assignment that you want to clear. When the document split is active and you post payable or receivableitems, a split view of the items is stored in the corresponding ledger. You can use standard FI transactions to pay and clear these items.However, the document split splits the payment lines according to thesplit that was applied to the original open item that is paid. Thismakes it impossible for FI transactions to pay some specific accountassignment of one open item that is split. Prerequisites You need to maintain the activies in Customzing under PartialClearing by Account Assignment>. There, you do the following:
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