I have followed follwing steps--
1) MiSc type order (500 EUR)
2) VF01 with billing doc type VFZ (down payment) (200 EUR)
actually m doing some testing work---
now next step is
Cash the advance:
According to the payment method of the customer, the incoming payment will be done automatically or manually. In order to unroll the flow fully, we will consider here, a manual incoming payment by check
Clear the payment with the receivable in the customer account. For this, select the corresponding receivable in the treatment of the uncleared items.
Through F-28
how to do this pl guide.
and next step is to bill remaining amount and book the remaining amount