Bank Reconciliation Statement-End User Document

Hi,
Does some body have an End User Document for uploading Bank Reconciliation Statement, both Manual and Automatic ?
If yes please post a link in this thread.
Regards,
Swapnil

http://help.sap.com/saphelp_erp2005/helpdata/en/43/0bd58143de11d1896f0000e8322d00/frameset.htm
http://help.sap.com/saphelp_erp2005/helpdata/en/43/0bd58143de11d1896f0000e8322d00/frameset.htm
http://help.sap.com/saphelp_erp2005/helpdata/en/43/0bd58143de11d1896f0000e8322d00/frameset.htm
regards
S

Similar Messages

  • Manual Bank reconciliation Statement

    hi experts,
    In my client site I am configuring Manual bank reconciliation statement where I found the bank main account was cofigured as a clearing account(open item management activated) and manually data are posted .
    My question If I upload a bank statement in transaction code FF67 and post it, will the system throw an error because the main bank account was configured as a clearing account?
    plz help me out.
    With regards,
    Sudipto

    Hi!
    Configuration Document in Development 200 for Automatic Bank Reconciliation Process.
    1. Define Posting Rules :
    Path : SPRO u2013 Financial Accounting (New) u2013 Bank Accounting u2013 Business Transactions u2013 Payment Transactions u2013 Manual Bank Statement u2013 Define Posting Keys and Posting Rules for Manual Bank Statement u2013 Define Posting Rules.
    In this Posting Rules need to be changed to 1-Post to G/L account from u20185-Clear credit G/L actu2019 and u20184-Clear debit G/L acctu2019.
    2. Maintain Variants for Bank Statements :
    In this we define variants for Manual Bank Statements as required and then this variant is attached in FF67.
    Path : SPRO u2013 Financial Accounting (New) u2013 Bank Accounting u2013 Business Transactions u2013 Payment Transactions u2013 Manual Bank Statement u2013 Define Variants for Manual Bank Statements.
    3. Additional Rules for Automatic Clearing :
    For clearing bank accounts we need to maintain clearing rules.
    Path: SPRO u2013 Financial Accounting (New) u2013 General Ledger Accounting (New) u2013 Business Transactions u2013 Open Item Clearing u2013 Prepare Automatic clearing.
    regards,
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  • Manual Bank Reconciliation Statement for multiple dates

    How can we enter ONE manual BRS for multiple posting dates?
    Below is the scenario for which we need multiple posting dates in one bank statement.
    We receive and enter in SAP the Bank reconciliation statement at the end of every month.  The system considers Posting date as end of the month ( the entry date or a single date what we enter).  The transactions however belongs to many dates of the month.  So while posting the bank statement system considers only one posting date and picks up the exchange rates of one date ( that is the posting date).  It results in undesired exchange rate differences.
    To elaborate more please check the following example:
    1. Incoming Payment on 01-12-09 in USD (USD = Foreign Currency, AED = Local Currency ) with Exchage rate 3.8.
    2. Incoming Payment on 06-12-09 in USD with Exchange rate 3.9
    3. Incoming Payment on 09-1209 in USD with Exchange Rate 3.7
    If all of the above transactions are posted at one posting date the system picks up only one exchange rate at the posting date.  However the system should pick up the respective exchange rates on the transaction date.
    I hope I am able to communicate properly.
    Waiting for your expert opinion forks.
    Amir

    How can we enter ONE manual BRS for multiple posting dates?
    Below is the scenario for which we need multiple posting dates in one bank statement.
    We receive and enter in SAP the Bank reconciliation statement at the end of every month.  The system considers Posting date as end of the month ( the entry date or a single date what we enter).  The transactions however belongs to many dates of the month.  So while posting the bank statement system considers only one posting date and picks up the exchange rates of one date ( that is the posting date).  It results in undesired exchange rate differences.
    To elaborate more please check the following example:
    1. Incoming Payment on 01-12-09 in USD (USD = Foreign Currency, AED = Local Currency ) with Exchage rate 3.8.
    2. Incoming Payment on 06-12-09 in USD with Exchange rate 3.9
    3. Incoming Payment on 09-1209 in USD with Exchange Rate 3.7
    If all of the above transactions are posted at one posting date the system picks up only one exchange rate at the posting date.  However the system should pick up the respective exchange rates on the transaction date.
    I hope I am able to communicate properly.
    Waiting for your expert opinion forks.
    Amir

  • Basic Informatio and End User Document

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  • Bank Reconciliation Statements

    Hi,
    I want to know how to get the previous month and current month Bank Reconciliation Statements?
    Business One Implementation Version is 2005.
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    Satya,
    Are you referring to the Printed copy of Reconciliation on the Bank Account.
    choose Banking > Bank Statements and Reconciliations > Reconciliation. Choose the Automatic tab and enter the required parameters. Choose Print Settings.
    Select to print reconciliations. After you select this option, the following fields appear:
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  • Manual bank reconciliation statement FF67

    Hi ,
      what are the data to be enter the data in FF67 for manual bank reconciliation statement and how to post the bank G/L? How to check whether it is posted or not? Please tell me the steps..
      If use BDC for Tcode FF67...Bank G/L will be posted automatically? How to check whether it is posted or not? Which tables get updated while clearing G/L.
    Thanks in Advise

    Hi
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    Help in Upload program for T-code FF67
    If your main Bank Closing balance tallies with your physical bank balance, it means your statement has been posted.
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    manual bank reconciliation statement path
    thank u
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    hi,
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