Bank Reconciliation using DI Server

Hello Gurus,
Is there a way to use the Bank Reconciliation through DI Server?  Please help.

Hi Gilbert,
Reading the SDK Help Center 2007, there's two objects for Bank Reconciliation (I'm 99% sure this is it), the BankPages object (ObjType = 42) and the BankStatement related with the BankStatementService (so it's not a exactly a Business Object). I'm not sure about service type objects with DI Server, but it should work for BankPages.
Please let me know if that's not what you were looking for (I'd like to be aware what not to tell to others ;D).
HTH,
Ian

Similar Messages

  • Problem with ERP User Role: Cant do Bank Reconciliation using SM35 Pls help

    Hi Everyone,
    I'm having soem problems. A user can upload the electronic bank statement (MT940 format) using FF_5 however when they attempt to process it using SM35 the file is not there.
    I think we might be missing an authorisation object or something that stops the bank file from being transported to the processing function SM35 but I dont know what the missing object is or how to correct it.
    If you can help - please do!
    Many many thanks!
    Ciara

    Hi Andrew,
    I'm able to run the programs as I have access to SAP ALL, I traced myself running the program (ST01) but cant make sense of the report to work out what's missing.
    I'll try running the same trace for the user that is mising the authorisation objects to see what the difference is.
    Thanks so much for your response - you obviously understood my question!
    Much appreciated
    Ciara

  • Errors while uploading BAI2-Bank statement using FF.5

    Hi
    I am trying to configure EBS-Electronic bank reconciliation using BAI2 file but when I upload a simple sample file that I created it gives me this error:
    Error: (F5 263) The difference is too large for clearing
    and
    Error: (GLT2 201) Balancing field "Profit Center " in line item 001 not filled
    where Line item 001 is
    Cr. Main Bank Account
    Line item 002 is
    Dr. Outgoing clearing account
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    Credit Main bank account
    Clear Debit G/L account - Outgoign clearing account - (Posting type = 4)
    Document type used is ZR-Bank reconciliation
    I don't know how to avoid these errors, esp. Error: GLT2 201Balancing field "Profit Center " in line item 001 not filled

    Ashish, Try to find some BTE for your requirement. Use FM BTE_FUNCTION_FIND .
    OPEN_FI_PERFORM_00001120_P
    OPEN_FI_PERFORM_00001120_E

  • Posting Manual Bank Reconciliation

    Dear Experts,
    I have posted Manual bank reconciliation using tcode ff67. I want to see the document no and be able to trace the entries passed. But the stastus is showing "Entered".
    Pls help

    Hello,
    Please see transaction
    FEBA
    or
    FEBA_BANK_STATEMENT
    For the entries posted, you can see FBL3N for the bank-sub accounts.
    Regards,
    Ravi

  • Manual Bank Reconciliation(FF67) BDC / LSMW Required

    Hi,
    Please help me out i am stuck in making a BDC or LSMW for Manual Bank Reconciliation using T-Code FF67. I require the code for it...
    Regards,
    Abhishek.

    Initially, goto SHDB & record the transaction FF67. U need to fill up all the required data fields and when at last u save this, a sample BDC code gets generated. U can use this sample code to write ur program.
    Hope U can do this & resolve the problem.
    Pl. award points.

  • Need to clear openitems for Bank Reconciliation without useing Algorithms

    Dear All,
    As per configuration of Manual Bank Reconciliation, for clearing cheque deposit & cheque issue we are useing Algorithms 15 & 13 respectively. while uploading Bank statement we used to give SIX digit cheque number as a reference to clear the open items (i.e the same cheque Number is used to enter by the user in Allocation field of GL Account)
    But as a special case the user has entered more than SIX digit cheque Number in Gl Account. Now am unable to clear those open items, since bank statement is having six digit cheque Numbers only.
    My question is if i want to clear the open items of cheque deposit, cheque issue, others without useing Algorithms... let me know the configuration with various specification parameters.
    Regards,
    Swathi

    HI
    My Requirement is only one..... can we clear without useing Algorithms..... let me know the process.... on what parameters/specifications can do
    Rgds,
    Swathi
    Edited by: swathi fico on Aug 27, 2009 10:08 AM
    Edited by: swathi fico on Aug 27, 2009 12:55 PM

  • Electronic Bank Reconciliation

    Dears,
    We are on our way to implement electronic bank reconciliation in our SAP system.
    However, there are certain points I am not very clear. Could you please offer your valuable comments:
    WE understand that we can download the data from the Bank in approved data format such as (BAI, MT*, etc.) and directly upload into the system.
    But what is the difference between these:
    - What is MT100 & MT940 format ?
    - Do they serve the same purpose ?
    We are planning to use MT940 Statement uploading.

    Hello Nikitha,
    Please refer below mentioned links and documents it will help you to understand.
    What is a swift message mt940 - 1Q5A
    http://www.sdn.sap.com/irj/sdn/go/portal/prtroot/docs/library/uuid/20d2f203-4959-2e10-239f-bce48eef858d?overridelayout=t…
    Regards,
    Basappa

  • Deriving the profit center / segment during Bank Reconciliation

    Hi SDN,
    One of our requirements is to generate a Financial Statement by Segments.
    For this reason, we also need to derive / tag our Bank Reconciliation documents (Manual and Electronic) to the corresponding profit centers or segments. The problem though is that during FF67 or FF_5, there's no way we can enter these data.
    At the same time, we can't set a default profit center via FAGL3KEH since these bank accounts may be used for multiple profit centers and not defaulted to one only.
    My question now is, can we use the document splitting functionality so that we can "inherit" the profit center / segment from the payment document during bank recon?
    To give you an idea here's a sample flow of what we wanted.
    Customer Invoice (GL view)      - OK in the system
    Dr  Accounts Receivable  (profit center 1) *inherited
    Cr  Revenue Account (profit center 1)
    Incoming Payment (GL view)     - OK in the system
    Dr Incoming Clearing (profit center 1)
    Cr Accounts Receivable (profit center 1)
    Bank Reconciliation        
    Dr Main Bank             (profit center 1)
    Cr Incoming Clearing (profit center 1)
    Currently, system does not inherit the bank reconciliation document to the right profit center. Is there any way we can do this in the system?
    Thanks

    Dear,
    During bank Reco system inherit the Profit Center from the document which it is clearing. There is no need to maintain Default the same in FAGL3KEH.
    Please activate splitting at Profit Center level.
    Hope this helps!!
    Br,Vivek

  • Bank Reconciliation report missing transtype=57

    Hi
    we are using SAP B1 version 8.81(8.81.313) PL 05
    We have a cyrstal report for Bank Reconciliation which is missing all transactions with transtype=57 (Checks for Payment).
    1. Is this a standard report for SAP B1 or has this been developed for us?  I have not been here long and while some reports were developed by the reseller, I am not sure which ones they were.
    2. The Show SQL Query code includes the following which I have not been able to find anywhere in the report.I have looked in all the reports both main and sub-reports under report->selection formula->record selection as well as in all formula fields and section experts.
    AND ("JDT1"."TransType"=N'30'
          OR "JDT1"."TransType"=N'-4'
          OR "JDT1"."TransType"=N'46'
          OR "JDT1"."TransType"=N'24'
          OR "JDT1"."TransType"=N'25')
    I understand that this is the piece of code I need to add  " OR "JDT1"."TransType"=N'57' "
    3.Can anyone help where else I might find the above code?
    4. Does anyone know what TransType=-4 in table JDT1 represents?
    Thanks Chris

    Hello Friend,
    It is use for Opening Balance for stock.
    Item Stock as opning balance use  '310000001'
    BP master Opening Balance use '-2'
    G/L Opening Balance use '-2'
    Thanks
    Manvendra Singh Niranjan
    Edited by: Manvendra Singh Niranjan on Jan 15, 2012 10:29 AM

  • Bank Reconciliation Report

    Dear Members,
    A bank reconciliation report is the report showing all the transactions reconciled in the period. In accounting the bank statement is regarded as the bible of the company's monthly transactions and the bank reconciliation report is the only prove that all transactions on the bank statement has been reconciled in the SAP Bydesign or any system.
    This report must be signed by the chief financial controller for listed companies and filed at the end of every period or month. We need to have a tab on the bank statement creation/reconciliation window for printable bank statement report which should have the cheque numbers, payment references, receipts references, customer/supplier name, amount in credit/debit, date etc all in rows. There should be an option to print a detailed or summary or total report. There should also be a reminding pop up at the end of every bank statement creation or reconciliation to print this report.
    I believe we need this facility on Bydesign ASAP, as it does not look good for a wonderful system like bydesign with complete mobility to be downgraded due to a simple tab or an essential like bank reconciliation report. I am an accountant and the first DOCUMENT I will request for on an audit is the bank reconciliation report( please ask any accountant or auditor to confirm this). Currently my CFO is questioning the selection of Bydesign due to the lack of this report and soon our auditors will request that we migrate to another accounting system due to SOX 404( Listed companies reporting requirements).
    Sincerely,
    Emeka Ikwukeme, CPA

    Hello Emeka,
    I landed on this thread when I tried searching for a similar requirement. I'm curious to know if something came out of this discussion.
    Have you been able to pull something out of the system using any workaround, or creating a new report,...?
    Thanks,
    Mohan

  • REG: Bank Reconciliation field

    HI
    I need information on bank reconciliation
    i have to develop a report regarding bank reconciliation
    where it shows following things:
    1. bank book balance
    2.cheque deposited but not credited by bank
    3.cheque issued but notpresent in bank
    4.Amount debited by bank not credited by us
    5. Amount credited by bank not debited by us.
    6.balance as per bank statement
    now i got some issues regarding 4 and 5
    FEBKO is header table
    i was asked to use FEBEP table for line items
    in that i was asked to filter out customer amout , vendor amount
    and the remaining amount of line items is bankcharges as told
    by my functional consultant
    but i want a field which filter out these vendor and customer
    amounts  iam assuming it as FKOA1(Account type) from table
    FEBEP  . this field has three choices 1.vendor account
                                                           2.customer account
                                                           3. g/l acount  
    based on this i decided to take that field
    now tell me if my field is correct what is the transaction that
    updates this table(FEBEP) and field FKOA1.
    iam in necessary of it  replie as soon as possible
    and also list out all transactions regarding
    Bank Reconciliation.

    The payment tables is your solution.
    Check
    REGUH
    REGUP
    struct - REGUD

  • Automatic bank reconciliation with Electronic bank statement

    Deal All,
    As mentioned in the subject of this mail, this is to request for your inputs to advice the configuration steps with process for Configuration of Electronic Bank Statment in R3 to eneble the user for automatic bank reconciliation with clearing customer/vendor open items.Please send confi doc.
    Request you to provide documentation if possible along with your valuble advices.
    cvs

    Hi
    I implemented the EBS in my company 4 month ago and here are some advises on the problems i experienced in the setup process. As for the setup process it is straightforward just read the manual at help.sap.com.
    We used the MT940 format for importing bank statements from our bank.
    The first thing i would advice you to do is make a list of all the possible transactions that are to be handled by the EBS application.
    Then make estimation of how many payments that are recieved in constant structured way which the EBS can handle. (invoice number in the text)
    The people in our accounting department complained alot about the output format in the EBS not being userfreindly compared to the advises they recieved in e-mail form from the bank so if not the bulk of your payments can be processed automatically it might not be worth the trouble to implement it. (i still think they uses the the email to postprocess the transactions that was not automatically cleraed)
    Make sure you havent got any other applications handling some of the transactions that are contained in the bank statement because this wont work. eg. we had a program automatically placing fx trades on customer and bank account which meant that when we recieved the fx trade on the statement it was already placed and therefore had to be placed on a interims account for later reversal.
    We get alot of bankcharges on our payments and we set up the EBS to place them automatically on a bankcharge account if the difference between the recieved amount on the invoice was less that 30 dollars.(we just assume that a difference is a bank charge) This means that a customer if he wants to always can pay x dollars under the invoice amount because it will be automatically processed and therefore go unnoticed.
    Establish a contact in your bank who knows how their MT940 format has been structured. 
    Then contact your bank and get them to provide some test statements of old bank statements.
    Make sure that you are not the first customer for using the MT940 format or else you will end up being ginny pig for the banks possible mistakes.
    As i learned the way banks interpret the MT940 format guidelines can varry quite alot eg. the ocmt field our bank interpreted as the original payed amount in its original currency. SAP inprets this field as the recieved amount in its original currency and therefore it always try to clear the OCMT amount if availleble which meant it always tried to clear the original amount even though there had been taken som bankcharges underways.
    I also found out that our bank didnt really bother to specify the type of transaction (interest, fx contract, bank charges, check and so on) which meant we only had two external transaction codes availleble s103 for incomming payments and ntrf for outgoing payments. This gave alot of trouble as i had to identify the type of transaction through seach algorithms.
    Our bank also had trouble creating the MT940 file because it has a limited number of characters availleble which meant in the initial file that it only gave the first x characters of each line and then left out the rest. This meant that the text was broken into alot of pieces and you hardly ever had a complete invoice number to clear on. We had the bank altering their format so they now leave out text at the end of the transaction instead.
    In the implementation process we experienced that the EBS application created a payment advice each time the amount of the payment didnt match the invoice in the system. We implemented a note from service.sap which disabled this and just assigned the difference to a bankcharge account.
    I dont know if you can use these advices but just felt i would try to warn you about the potential problems that i experienced in the process. .
    If you have concrete questions to the EBS setup feel free to contact me and i will see if i can help you.

  • Automatic clearing in Electronic Bank Reconciliation

    Hi All,
    I have a scenario here where my client is using an Electronic Bank Statement to do bank reconciliation. The format used is MultiCash. Our setting for Bank GL account are using one Uncleared account - all payment or transfer will be posted here, and one cleared account - after bank reconciliation has been done, it will clear the line item in Uncleared account and post it in Cleared Account.
    And one of the conifg we do for bank reconciliation is to automatically clear the Payment Document in Uncleared Account and post it to Cleared Account by searching and matching the Document number. So in the bank statement files given by the bank (DB), it will provide the document number in "Note to payees"
    But we have a problem here with few market in Korea and Taiwan. They have limits for every transaction. For example, for Taiwan, each transaction is limit to TWD 20,000,000 only. Thus, if I got a payment paid out to vendor amounted 61,000,000 TWD, when the payment order is sent to the DB bank, the bank will automatically split it into 4 different payments transactions. Three transaction with amount TWD 20,000,000 and one transaction with amount 1,000,000.
    So when the bank provide us with the bank statement file, the system will fail to do the clearing as its impossible to clear 20,000,000 TWD with the payment document TWD 61,000,000 in SAP. Currently they are using FEBAN to manually post partially and clear it off.
    So my question will be, is it possible for SAP to detect all this 4 documents (20,000,000, 20,000,000, 20,000,000, 1,000,000) and clear it off with my payment document in the Uncleared Account amounted 61,000,000? The bank provided same SAP document number in every transaction for the Notes to payee field.
    Please advice. Thanks.

    Please check the algorithm you have mentioned against the posting rule for the transaction that is not getting cleared.  Please use the criteria (like document number or cheque number or bank key etc.) in the reference field in the posting transaction to help the system to find out the matching item from the uncleared items for enabling to clear it off automatically.
    Regards

  • Bank Reconciliation Report  SAP B1 2005 or 2007 versions

    Any progress made here ?
    Needs to have cashbook balance, list of unreconciled transactions and a bank statement balance. Can provide an example if needed.
    Interesting the Banking section has been revamped in 2007 version without such a standard report.
    Yes, there are work arounds, but something so standard should not need a work around.
    Would be good to get a resloution here.
    Thanks in advance for any help here.

    Hi Guys,
    I am pleased to inform that to meet this crucial feature we have come up with a Bank Reconciliation Add-on which provides a comprehensive inquiry and reporting on posted Bank Reconciliation.  Apart from the detailed inquiry screen the add-on also provides following useful reports in standardize format.
    Summary Report:
    This report list the summary information per statement in a format as shown below:
    <<Section 1- Values in Books>>
    GL Balance
    +Positive Adjustments
    Sub Total
    -Negative Adjustments
    Ending GL Balance
    In section 2
    <<Section 2 - Values in Bank statement>>
    Cleared With./Chks.
    Cleared Inc./Dpsts..
    Balance on Statement
    +Out Standing Deposits
    Sub Total
    -Out Standing Checks
    Ending Balance
    Difference - The difference between GL Ending Balance and Bank Statement
    Ending Balance is shown.
    Detailed Report:
    This report list the detailed information per statement; giving details such as Cleared, Un-Cleared Checks, Outgoing Payments, Incoming Payments, Credit Card transactions and Adjustments.
    If you are interested you can get in touch with us at sap at greytrix.com
    Regards,
    Nits
    Manager - SAP Business One
    G r e y t r i x
    It's time to think outside the box.
    Migration, Integration, Customization and Modification Solutions
    E-mail: sap at greytrix.com
    Web: www.greytrix.com/sap
    Edited by: Nits - Greytrix on Jul 22, 2008 11:15 AM

  • Standard Bank Reconciliation and Customer and Vendor Statement of Accounts

    Hello Experts,
    I am implementing ECC6.0 now.  I'm noit very familiar with the version so I am very hopeful that you could help me find the following standard reports in SAP. If these are not standard, then I need to recommend customization since the data are in SAP nonetheless.
    Are these reports available as standard report in SAP ECC6.0?  Can you please tell me the transaction codes?
    - Bank Reconciliation
    - Statement Of Accounts for Customers
    - Statement of Accounts for vendors
    - Credit Analysis using Credit Control Area as parameter
    Thanks in advance
    Rocel

    Hi,
    BRS - FF_5 (If the statement is in a recognised format), FF67 and FEBA_BANK_STATEMENT (if the statement is manual)
    Statement of Accounts for vendors and customers - F.27, Correspondence SAP06. However you may want to change the standard form.
    Credit Analysis - FCV3, F.33, F.31, S_ALR_87012218.
    Rgds
    Shivram.

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