Composed Payments (tfcmg1504s000)
Use this session to display the details of the composed payments.
Field Information
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- Payment Batch
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The financial payment batch for which the anticipated payment transactions are created.
 - Pay-to Business Partner
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The pay-to business partner to whom the payments are made.
 - Currency
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The currency used to make payments.
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- Payment Method
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The payment method of the anticipatory payments.
 - Business Partner Bank
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The bank relation of the supplier, used to generate a payment advice.
 - Planned Payment Date
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The date to make payments to the supplier.
 - Reason for Payment
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The reason for payment used to indicates why a payment is made, especially for foreign payments.
 - Invoice-from Business Partner
 - Invoice Company
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The Financial company in which the invoice was created.
 - Sequence Number
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The sequence number, if the batch consists of multiple payments.
 
 
 - Transaction Amount
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The total amount of the composed payment in the specified payment batch.
 - Amount in HC
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The amount paid, expressed in the home currency.
 - Bank
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The bank relation of the pay-by business partner.
 - Payment Document
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The number of the payment document, which consists of the transaction type, the document number, and the sequence number.
 - Payment Date
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The date on which the payment is made by the bank.
 - Reference
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The reference text which is printed in the payment advice.
 - Type of Blocked Account
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The account type indicates the type of transaction to which the ledger account refers.
 - Remittance Agreement
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The remittance agreement code linked to the payment of the subcontracting invoice.
 - Remittance Letter
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A review of the payments made as a result of the remittance agreement.
 - Paid with check
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If this check box is selected, the amount is paid with a check.
 - Posted
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If this check box is selected, the combined payment is posted to the financial accounts.
 - Amount in HC
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The amount in home currency.