Tuesday, October 11, 2011

Data Medium Exchange (DME) - Configuration


Relevant Acronyms:
PMW – Payment Medium Workbench
DME – Data Medium Exchange
DMEE – Date Medium Exchange Engine

Summary of Key Points:
  • Transaction to create DME tree: DMEE
  • Each DME tree must contain a Root level.
  • A DME tree must be activated before it can be used.
  • All DME Format trees for payments are driven by SAP standard program SAPFPAYM.
  • Each field in a DME tree is named an “Element.”
  • An Element’s subfield is called an “Atoms.”  These atoms can be used to add additional flexibility to a field.
  • There are 5 main types of attributes which can be assigned to an Element or Atom.
    • Constant
    • Structure Field
    • Reference Tree Node
    • Aggregation
    • Exit Module
  • Each node of the DME tree can contain IF statements in the form of conditions.

Data Medium Exchange: Configuration
In many instances banks in Europe and Asia Pac do not have standard file formats and EDI interfaces are not utilized. This was the chosen method since each of these banks requires payments to be sent in their own unique file formats, which have not been standardized.  Using the DMEE we are able to easily create, generate, and maintain files for each of these banks specific requirements.  Below are the required steps to successfully configure the DME in the SAP system in order to generate a payment file using the F110 transaction.

Create Payment Medium Format: SPRO
Financial Accounting New à Accounts Receivable and Accounts Payableà Business Transactionsà Outgoing Paymentsà Automatic Outgoing Paymentsà Payment Mediaà Make Settings for Payment Medium Formats from Payment Medium Workbenchà Create Payment Medium Formats

In this step of the configuration the Payment medium formats need to be created for each DMEE tree configured.  The new format must contain the same name as the DMEE format tree. We then choose the format output Payment medium Without Docs to designate only the payment file will be generated and the type File to signal a flat file will be generated rather than an IDoc or XML file type.   Next, under Program Control, set the Mapping using DME engine indicator, which links the format to the custom DMEE object.  Last, the Company Code check box is selected which instructs the program to create a file for each company code involved in the payment run.



Assign Payment Medium Format to Payment Method at Country Level: Transaction FBZP
Financial Accounting New à Accounts Receivable and Accounts Payableà Business Transactionsà Outgoing Paymentsà Automatic Outgoing Paymentsà Payment Mediaà Make Settings for Payment Medium Formats from Payment Medium Workbenchà Assign Payment Medium Format and Note to Payee to Payment Method

For each country and each payment method the Payment Medium Workbench must be assigned.  This is done by selecting the country and the corresponding payment method which will be using the Data Medium Exchange (DME).  The option button “Use Payment Medium Workbench” is then selected and the Payment Medium Format, which was created in the previous step and which also possesses the same name as the DME file structure is assigned in the format field.


Create Variant: Transaction SA38
SystemàServicesàReporting (Enter Program)àGotoàVariants

For payment medium programs using the payment medium workbench or for the DMEE in particular, variants must be created here rather than directly in the payment program via transaction F110.
Follow the menu path or enter the transaction code and enter the program name SAPFPAYM.  This is the standard payment program which is being used in combination with our custom file structures to generate a file in the banks specified format.  Once the program name is entered select GotoàVariants which will then display a screen where the new variant can be named or where an existing variant can be altered.  A user defined name can then be entered and created.
Next, the standard selection screen for the program SAPFPAYM will appear where the parameters for the file format can be entered and saved.  This is where the standard program is instructed to use a designated Payment Medium and also where to store the file generated from the payment run. Files can be stored on the server, to a location on the users desktop or if left blank they will be saved internally within a TemSe for the F110 transaction.
Also, if required dynamic selections can be entered for each variant, in which the user can select house banks, account ids and payment methods applicable to the program.




Assign Variant: Transaction OBPM4
Financial Accounting New à Accounts Receivable and Accounts Payableà Business Transactionsà Outgoing Paymentsà Automatic Outgoing Paymentsà Payment Mediaà Make Settings for Payment Medium Formats from Payment Medium Workbenchà Create/Assign Selection Variants

Last, the variant created previously must be assigned to the relevant company codes.  The Payment Medium Format is selected and the company codes will appear in the window to the right.  All of the company codes will appear for the given country, because earlier we assigned this format to a specified country and payment method.   When we select the file format it brings up all the corresponding company codes for that country and payment method combinations.  The variant that was previously created should now be assigned to the company code which will be using the DME to generate payments.

**Documentation from http://help.sap.com/ was used to source portions of the above information

This site is in no way affiliated with SAP AG. 

8 comments:

  1. Very helpful!
    Thanks alot

    ReplyDelete
  2. Hi ,

    This is really good article when I search for one help .

    Is there a way to control entire segment by putting condition ?

    For eg: Header
    Batch Record
    Payment record..

    Above is the tree structure..

    As per current setup , it is Currently F110 producing file as follows

    1header record --> contains header details
    2 Batch record ---> contains details abt paying account EUR , sort code ...

    3 Payment Record 1 EUR
    2 Batch record --->contains details abt paying account EUR, sort code

    3 Payment Record 2 EUR
    2 Batch Record - contains details abt paying account USD , sort code

    3 Payment Record 3 USD
    2 Batch Record - contains details abt paying account USD , sort code

    3 Payment Record 4 USD

    but it should print as below

    1header record

    2 Batch record ---> contains details abt paying account EUR , sort code ...
    3 Payment Record 1 EUR
    3 Payment Record 2 EUR

    2 Batch Record - contains details abt paying account USD , sort code
    3 Payment Record 3 USD
    3 Payment Record 4 USD


    Like 1 batch record per 1 currency ..

    Appreciate your help..

    Kind Regards
    Raman

    ReplyDelete
  3. Hi
    i need some information , can i k now how we need to configure check management integration with ACH.
    There is sap standard process, can share any info on this

    Regards
    Naveen

    ReplyDelete
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