my client uses the Transaction Manager to handle their financial transactions. In terms of payments, payment requests payment program is used when it is relevant to external house banks. However, due to the reason that in their scenario In-house Cash component is activated and some internal or intra-group Treasury deals are made, Customer would like
to execute relevant payments over In-house bank accounts instead of using external house bank accounts.
So far we have found that it is possible to implement BADi IHC_CFM_ADAPTOR to make payment connection between Transaction Manager and In-house Cash. In this regard SAP Help
(http://help.sap.com/saphelp_afs64/helpdata/ru/2f/f83e429ef1033be10000000a1550b0/content.htm) says 'All payments are processed using In-House Cash in the example implementation.' Are there some options to specify what payments should be processed by this BADi?
So, could you please advise me on options of Customizing we have in order to achieve above mentioned payment functionality - process some of Treasury relevant payments over external house bank accounts and some of them over In-house bank.