Sap Fi
Sap Fi
I have set up 2 Banks suppose 1)ICICI and 2)SBI and I want to print.. the
passbook for both ...where we customise these settings (T.code) ?
go to F110 t code and click on print out data maedium, select the
variant(first need to cretae hous bank with name of respective bank )
selectin the same by clicking pop up box and click on mainttain variant and
maintaint the details. after maintaing variant go to FCHI to maintin the
check lot and enter the house bank name and chequer numbers serious
how can we make cleared item as open item in the Accounts Receivable. & How
the checks are useful in the accounts receivable.
Reverse and reset the cleared Document thru T Code FBRA Then the cleared
items become open item.
why we have to give GL no. between 6 to 10?
No u can use whatever the no u want. minimum is 1 and maximum no is 10 only.
Capgemini
A} what account group and what does it control. b} how do you control
field status of gl master records and from where do you control.
A) account group is the categories of gl accounts.
example.liabilities, assets, income, expences. these will control the field
status of gl master recards. by assigning the field status group to the gl
master under the bank/ interesttab. here we can find 42 groups.
After dunning run has carried out the customer has not received the
dunning note... what all could be the possible reason...?
FILL THE DUNNING FIELD IN THE CUSTOMER MASTER. GO TC XD02 CHANGE CUSTOMER
MASTER GO TO COMPANY DATE AND FILL DUNNING FIELD OF RELEVENT CUSTOMER.
what is the difference between field status group and field status variant ?
Field states group controls the transactions fields. Means what ever coming
in header & line items when we are posting a document. E.g.: document date,
due date, text, tax etc.,
This type of Field states groups are available in field status variant. One
FSV(field status variant) contain n-number of FSG(Field states group), FSG
is assigned in account master data. That account FSG controls that
account transactions fields.
Can somebody help me on how to run automatic payment programme? what are the
steps involved from the beginning till the end.
for APP, there are about 6 steps involved,
What's the 'free selection' tab in the Automatic payment program(tcode F110)
stand for? what are the configuration details for the same?
If you want to exclude any values from the payment run you have to define the
field name in the free selection tab
For a sense of where the functional specification fits into the development
process, here are a typical series of steps in developing a software product:
AR Segments are:-
1. General Data Segment
2. Company Code Segment
3. Sales Organisation Segment
GL Segments are:-
1. Chart of Account Segment
1. PROJECT PREPERATION.
2. BUSINESS BLUE PRINT.
3. REALIZATION.
4. FINAL PREPERATION.
5. GO LIVE.
6. RUN. (this is the new phase of ASAP)
WHAT IS THE MEANING OF SORT KEY? WHY DID U SELECT AT THE TIME OF
GL CREATION? WHAT IS THE DIFFERENCE BETWEEN ACCOUNT CURRENCY
AND CO.CODE CURRENCY AND ONLY BALANCES IN LOCAL CURRENCY?
sort key assigned in the account key is the base for sorting
the data while retrieving.example to the above is fs10n. in
the comeup screen of fs10n u can see the account balance
periodic wise, if u want to see in detail u have to double
click on the periodic amount. here sort key is the base for
retrieve and keep in sequence.
company code currency and local currency both are same where
is the account currency is controlled from coa.
functions of new gl :
1.Parallel Financial Reporting
2.Document Splitting
3.Segmentation
4.Multiple Legers
5.Profit Center & cost of sales accounting in single screen.
Where do you define financial statement version ? give me T.Code for the
same
Financial statement version we define in OB58 transaction code
when goods are delivered, goods are sold it means goods are
outging,so as per accounting rule debit what comes in and
credit what goes out.
so, outgoing goods are to be credited as sale a/c
Example:
Example