Manual BRS Config
Manual BRS Config
GL Accounts Creation:
Main Bank GL Account : 200200 - HDFC BANK A/C
Outgoing Payment Bank GL a/c
Incoming payment Bank GL a/c
Outgoing Payment: After BRS Entry would be
There are three steps to be performed in settings for manual bank statement.
Save
After this select the variant and Click on Activate
If you do not want to work with the standard variant, you can deactivate it. New variants must be
activated after you create them.
2. Define Posting Keys and Posting Rules for Manual Bank Statement
Under this node, you define all the posting rules you need for bank statement entry, including a
key for each rule. The key determines the posting rules for general ledger and subledger
accounting. The posting rule represents the business transactions recorded in the bank statement,
such as:
- Incoming check
- Credit memo
- Debit memo
• Create Account Symbols: We can create new account symbols thru ‘New Entries’and
filling the Account Symbol and Text for it.
‘BANK’ is the
account symbol for
the Main Bank
Account
• Now select the created account symbol and go to assign accounts to Account Symbol.e.g
Select Bank Account and go to assign accounts to account symbol.Similarly do it for
Incoming and Outgoing account symbols.
Take New Entries for Assign Accounts to Account Symbol – and then provide the outgoing
payments GL a/c SAVE
For Incoming payments – GL a/c Mapping
Take New Entries for Assign Accounts to Account Symbol – and then provide the incoming
payments GL a/c SAVE
Take New Entries for Assign Accounts to Account Symbol – and then provide the Bank Charges
GL a/c SAVE
• Create Keys for Posting Rules
Note:- Select the existing standard Posting rules – for Outgoing Check payment, Incoming
Check Payments and Bank charges paid. Use Copy as function and create our own keys for
Posting Rules.
Dr. Outgoing
Account
Cr. Main Bank
Account
So 50 is given for
BANK(which is
defined for Main
GL account for
House Bank)
Document Type ZR – [ Separate Document type preferred for Bank Reconciliation Entries.
Do not Enter Posting Key on Debit Side – Not required here.
SAVE
For Incoming Checks – Posting Rule during BRS:
So 40 is given for
BANK(which is
defined for Main
GL account for
House Bank)
Transactions : This we have to define e.g PS01 (usually same as the Posting rules)
Acct . Modifiable : usually not req. until we want to direct the posting to a different bank sub
account instead of to a standard bank sub account.
Int .Algorithm : An interpretation algorithm enables you to find separate outgoing payments
using the reference information returned by the bank.
Transaction – FF67
Statement entry is usually a two-step process:
• First, you enter the account line items in the system. Various tools are available to help
you with this. You can vary the row format for entering individual transactions.
In addition, the system supports individual account determination and checks data
consistency.
• The second step is to post the line items you have entered.
In the manual bank statement function, you can create up to two postings for each line item.
• A bank account posting (for example, debit bank account and credit bank clearing
account)
• A sub ledger posting (for example, debit bank clearing account and credit customer
account with clearing)
For the first payment, fill in details and give the Closing balance (no opening balance).
If already exists: Press Overview to look for all the statements posted in the selected house
bank.
To enter a new statement click on last posted statement and click “New Statement’.
New Statement No. , date and Opening balance will come automatically. Now Give the
closing balance (from the bank statement if you have that or do not give any amount if
testing at own).
Press Enter
In Bank Ref. give the check no. in case of check payments or reference fields in case check is
not available (incoming payments).This shld be the reference field in the bank line item as
well.
The Doc. No. field shld not be filled at this time. It will get populated after the postings to
main bank account happen.
At the main Screen in the last tab “Further Processing” give the session name to identify ur
session in the batch sessions.
In these scenarios we are making posting only to bank and not to sub ledgers also but no need
to check the box ‘bank postings only’.
A batch input session will be created.
Select your batch and process in background. This will do the postings to main bank account.
At the end the session will disappear from SM35.But in case of any error the session will not
disappear from SM35.