This document provides instructions for configuring credit control areas, payment guarantees, payment card types and authorization requirements in SAP for processing credit card payments. It outlines the transactions and tables needed to define credit control areas, assign company codes, identify credit prices, set up automatic credit checking, define payment guarantee forms and procedures, payment card types and categories, sales documents that accept card payments, authorization validity periods, and general ledger accounts for reconciliation and clearing.
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Credit Card Configuration
This document provides instructions for configuring credit control areas, payment guarantees, payment card types and authorization requirements in SAP for processing credit card payments. It outlines the transactions and tables needed to define credit control areas, assign company codes, identify credit prices, set up automatic credit checking, define payment guarantee forms and procedures, payment card types and categories, sales documents that accept card payments, authorization validity periods, and general ledger accounts for reconciliation and clearing.
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7/5/2014
SAP Credit card configuration
Set Up Credit Control Areas: Define Credit Control Area Transaction: OB45 Tales: T014 Action: Define a credit control area and its associated currency. The Update Group should be 00012. This entry is re!uired so the sales order "ill calculate the #alue to authori$e Assign Co!pan" Code to Credit Control Area Transaction: OB%& Tales: T001 Action: 'ssi(n a default credit control area for each co)pany code Define Per!itted Credit Control Area for a Co!pan" Code Transaction: Tales: T001*+ Action: ,or each co)pany code enter e#ery credit control area that can be used . #dentif" Credit Price Transaction: -.0& Tales: T/&%0 Action: To"ards the end of the pricin( procedure1 after all pricin( and ta2 deter)ination1 create a subtotal line to store the #alue of the price plus any sales ta2. +a3e the follo"in( entries4 0ub to4 5'6 7e!t4 526 'lt*Ty4 546 Auto!atic Credit C$ec%ing Transaction: O-'& Tales: T/81, Action: 0elect each co)bination of credit control areas1 ris3 cate(ories and docu)ent types for "hich credit chec3in( should be bypassed. 9ou need to )ar3 the field 5no *redit *hec36 "ith the #alid nu)ber for sales docu)ents. Set Up Pa"!ent &uarantees Define 'or!s of Pa"!ent &uarantee Transaction: O-,D Tales: T/81: Action: 7.% is deli#ered "ith for) 5026 defined for pay)ent cards. Other than the descriptor1 the only other entry should be 5%6 in the colu)n labeled 5;y)tGua*at6 Define Pa"!ent &uarantee Procedure Transaction: Tales: T/81+.T/81O Action: Define a procedure and a description. ,or)s of ;ay)ent Guarantee and )a3e the follo"in( entries 0e!uential <u)ber 516 ;ay)ent Guarantee ,or) 5026 7outine <u)ber 506 7outine <u)ber can be used to #alidate pay)ent card presence. 7/5/2014 Define Custo!er Pa"!ent &uarantee 'lag Transaction: Tales: T/81; Action: Define a fla( to be stored in table. Create Customer Payment Guarantee = Payment Card Payment Cards (All Customers can use Payment Cards). Define Sales Docu!ent Pa"!ent &uarantee 'lag Transaction: Tales: T/817 Action: Define the fla( that "ill be associated "ith sales docu)ent types that are rele#ant for pay)ent cards Assign Sales Docu!ent Pa"!ent &uarantee 'lag Transaction: Tales: T-': Action: 'ssi(n the docu)ent fla( type the sales docu)ents types that are rele#ant for pay)ent cards. Deter!ine Pa"!ent &uarantee Procedure Transaction: O-,= Tales: T/81U Action: *o)bine the *usto)er fla( and the sales docu)ent fla( to deri#e the pay)ent (uarantee procedure Pa"!ent Card Configuration Define Card T"pes Transaction: Tales: T-*>< Action: *reate the different card types plus the routine that #alidates the card for len(th and prefi2 ?etc@A -isa 1 +astercard1 ')erican B2press1 and Disco#er Create the following entries for each payment card AM! American "press #CCA$%&C'C(&AM! Month %C %isco)er Card #CCA$%&C'C(&%C Month***** MC Mastercard #CCA$%&C'C(&MC Month +,-A +isa #CCA$%&C'C(&+,-A Month .he $outines can /e created /ased on the original routines deli)ered /y -AP. *****-AP does not deli)er a card chec0 for %isco)er Card. 1e created our own routine. Define Card Categories Transaction: Tales: T-*T9 Action: Define the card cate(ory to deter)ine if a pay)ent card is a credit card or a procure)ent card. Create the following two entries Cat %escription 2ne Card Additional %ata CC Credit Cards 3o4chec0 3o4chec0 PC Procurement Cards 3o4chec0 Chec0 7/5/2014 Deter!ine Card Categories Transaction: Tales: T-*TD Action: ,or each card cate(ory )ap the account nu)ber ran(e to a card cate(ory. +ultiple ran(es are possible for each card cate(ory or a )as3in( techni!ue can be used. Get the card nu)ber ran(es fro) user co))unity. Belo" is Cust a sa)ple of "hat > a) a"are are the different types of cards. -isa *redit B2pires in D days. 400000 405500 405505 405548 405555 41582D 415828 424/0% 424/0/ 42D5%2 42D5%4 42&D88 42&800 4D1/88 4D1D00 488888 -isa ;rocure)ent B2pires in D days. 405501 405504 405550 405554 41582& 41582& 424/04 424/05 42D5%% 42D5%% 42&&00 42&&88 +astercard *redit B2pires in %0 days 500000 540488 540/00 554888 55D000 588888 +astercard ;rocure)ent B2pires in %0 days 540500 540588 555000 55/888 ')erican B2press *redit B2pires in %0 days %40000 %48888 %D0000 %D8888 Disco#er *ard *redit B2pires in %0 days /01100 /01188 Set Sales Docu!ents to accept Pa"!ent Card #nfor!ation Transaction: Tales: T-': Action: 7e#ie" the listin( of 0ales Docu)ent types and enter 50%6 in the colu)n labeled 5;T6 for each type "hich can accept a pay)ent card Configuration for Aut$ori(ation )e*uest +aintain Aut$ori(ation )e*uire!ents Transaction: O-8' Tales: T,7+ Action: Define and acti#ate the abap re!uire)ent that deter)ines "hen an authori$ation is sent. <ote that the follo"in( tables are a#ailable to be used in the abap re!uire)ent ?-B':1 -B';1 -B:D1 -BU:1 and -BU;A. 7/5/2014 Define C$ec%ing &roup Transaction: Tales: **;G' Action: Define a chec3in( (roup and enter the description. Then follo" the belo" (uidelines for the re)ainin( fields to be filled. 'uth7e! 7outine 801 is set here. ;re'u >f chec3ed 7.% "ill re!uest an authori$ation for a .01 and the authori$ation "ill be fla((ed as such. ?>nsi(ht does not use preEauthori$ation chec3A. 'hori$on This is the days in the future 0'; "ill use to deter)ine the #alue to authori$e ?>nsi(ht does not use auth hori$on periodA. -alid 9ou "ill (et "arnin( )essa(e if the pay)ent card is e2pirin( "ithin %0 days of order entry date. Assign C$ec%ing &roup to Sales Docu!ent Transaction: Tales: T-': Action: 'ssi(n the chec3in( (roup to the sales order types rele#ant for pay)ent cards Define Aut$ori(ation ,alidit" Periods Transaction: Tales: T-*>< Action: ,or each card type enter the authori$ation #alidity period in days. AM! American "press 56 %C %isco)er card 56 MC Master card 56 +,-A +isa 7 Configuration for clearing $ouses Create ne- &eneral .edger Accounts Transaction: ,001 Tales: Action: T"o General Fed(er accounts need to be created for each pay)ent card type. One for '.7 reconciliation purposes and one for credit card clearin(. +aintain Condition T"pes Transaction: O-&5 Tales: T/&5 Action: Define a condition type for account deter)ination and assi(n it to access se!uence 5'0016 . Define account deter!ination procedure Transaction: O-&/ Tales: T/&% . T/&%0 Action: Define procedure na)e and select the procedure for control. Bnter the condition type defined in the pre#ious step. . Assign account deter!ination procedure Transaction: Tales: Action: Deter)ine "hich billin( type "e are usin( for pay)ent card process. 7/5/2014 Aut$ori(ation and Settle!ent Control Transaction: Tales: T**'' Action: Define the (eneral led(er accounts for reconciliation and clearin( and assi(n the function )odules for authori$ation and settle)ent alon( "ith the proper 7,* destinations for each. /nter +erc$ant #D0s Transaction: Tales: T**+ Action: *reate the )erchant ids that the co)pany uses to process pay)ent cards Assign !erc$ant id0s Transaction: Tales: T**'' Action: Bnter the )erchant ids "ith each clearin(house account