Bank clearing account -Automatic clearance

Dear Friends,
I had set up bank clearing account as open item management and as part of bank reconsilation procoess am clearing the my bank sub account with the assumption that my payment have been processed by bank and my bank account have been deducted.
While processing my sub account with transaction f.13,am getting an error message "No G/L account documents selected".
Could someone advice why am getting this error.
greatly appreciated.
Thanks,
Ram

Hi,
Settings for Manual BRS also same like EBS.. only thing here we will give our own business transactions..
All bank GL Accounts should have masking logic.. eg: 230101 is for main bank 230201 is for Incoming Check 230301 is for Outgoing check .. this is only for one bank like that we have to define for others as well.
In the House bank we will tag Main bank account.
Go to IMG --> FI --> Bank Accounting -->Payment Transactions --> Manual Bank Statement - Create and Assign Business Transactions
Here we have to define business transactions like...
Transaction types eg: Z001 - Outgoing cheques -ve indicator Posting rule z001 - enter text
Got to second node: Define Posting Keys and Posting Rules for Manual Bank Statement
Here we have to define all 4 steps
Above masking logic will helpful here
1. create account symbols eg:ZOutgoing checks ... and Main Bank
2. Assign accounts to account symbols (Here we have to assign all bank accounts to account symbols)
Acc.Mod: Put + Currency+ If the GL Lenght is 6 .. We have to enter GL Account like this --> XXXX2303XX so up to 99 gl accounts we can masking rule...
3.Create posting rule eg:z001 outgoing checks
4. Define posting rules ... Under debit .. postinkg key blank, account symbol Z001 Credit : Posting key 50 account symbol:Main and document type ZP and posting Type 4
Through above steps we have to follow for other transactions...
Thanks,
Padmaja

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  • Which  Bank Clearing Account  should be assigned to account symbol

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  • Auto clear in bank clearing account

    Hi, all
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    Hi,
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  • Bank Clearing Accounts

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    Looking to get the answers for all three

    Hello Lakshmi,
    1. Accountgroup clearing accounts bank
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    Cheques should always be managed with a separate subaccount, just to enable a clear presentation of the chequeregister. Other electronical payments can be posted to another account.
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  • How to clear cenvat clearing account automatically

    Hi all
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    Thanks in advance
    Regards
    Rishikesh

    Hello
    Check if this is of help.
    Also check MM/FI integration for 23 transactions. Check if a/c assignment is set.
    CENVAT Document
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    An accounting document that the system automatically creates when it generates a Part II entry.
    Use
    Customizing
    Specify which document type you want the CENVAT documents to use, in Customizing for Logistics – General, by choosing Taxes on Goods Movements ® India ® Basic Settings ® Maintain Company Code Settings.
    Day-to-Day Activities
    When the system generates a Part II entry for an incoming excise invoice, it creates a CENVAT document to debit the excise duty to the excise duty account, and credit it to the CENVAT clearing account:
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    Reg
    assign points if useul

  • Bank Clearing account

    Dear Friends,
    I have a situation and would truely appreciate your help and points will be awarded. Receipt from a vendor is getting posted in a 11306015 which is a clearing account instead of 11306010 which is the <b>confirmed cash account</b> attached to the Bank Account in FI12. When i checked the document i found out that 11306010 got credited and 11306015 is a debited. Can any ody explain f the process is right or wrong. Which i believe is wrong, as receipt in the bank account by eletronic statement should sit in 11306010 not 11306015. And also let me know how to correct it. The Bank account is a foreign currency account and the user says -this situation happens only when the currency is not USD or Euro.
    Any help friends !
    Regards
    Rashmi

    Hi,
    Settings for Manual BRS also same like EBS.. only thing here we will give our own business transactions..
    All bank GL Accounts should have masking logic.. eg: 230101 is for main bank 230201 is for Incoming Check 230301 is for Outgoing check .. this is only for one bank like that we have to define for others as well.
    In the House bank we will tag Main bank account.
    Go to IMG --> FI --> Bank Accounting -->Payment Transactions --> Manual Bank Statement - Create and Assign Business Transactions
    Here we have to define business transactions like...
    Transaction types eg: Z001 - Outgoing cheques -ve indicator Posting rule z001 - enter text
    Got to second node: Define Posting Keys and Posting Rules for Manual Bank Statement
    Here we have to define all 4 steps
    Above masking logic will helpful here
    1. create account symbols eg:ZOutgoing checks ... and Main Bank
    2. Assign accounts to account symbols (Here we have to assign all bank accounts to account symbols)
    Acc.Mod: Put + Currency+ If the GL Lenght is 6 .. We have to enter GL Account like this --> XXXX2303XX so up to 99 gl accounts we can masking rule...
    3.Create posting rule eg:z001 outgoing checks
    4. Define posting rules ... Under debit .. postinkg key blank, account symbol Z001 Credit : Posting key 50 account symbol:Main and document type ZP and posting Type 4
    Through above steps we have to follow for other transactions...
    Thanks,
    Padmaja

  • Bank Clearing Account showing open item

    Dear Experts,
    I have created two Bank Account one is Clearing Account and other one is Main Account.
    I created FF67 and perform batch input processing, and it is through, But the problem is in Clearing Account the line item transferred to Main Account is still showing as open item. It should be cleared item.
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    Regards,
    Nrusingh Pradhan

    It is resolved, i have selected wrong posting type.
    I am closing this issue.
    Resolved,
    Thanks for your reply.

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