BAPI for cash journal -BAPI_CASHJOURNALDOC_CREATE

Hello
Can we handle split in cash journal document entry through FBCJ by using BAPI_CASHJOURNALDOC_CREATE.
Regards
Dinabandhu

BAPI is in ECC6

Similar Messages

  • Create check lot for cash journal

    I need to create the check lot in order to link this to cash journal.
    Currently we are using the check lot to pay vendors (AP) and the doc
    type KZ is triggered and other payments through GL which gives doc type
    PV.
    Now I will need to create a check lot in order for receiving a check
    into my petty cash through the cash journal.
    Usually, the steps involved is via FCHI, FCH5 and lastly FBZ5.
    How do I ensure that when a check is issued from our bank to cash
    journal and I record this in FBCJ, the doc type triggered is also PV.
    Another problem is that we require the payment advice to be created for
    the check issued via FBZ5.
    Regards.

    Can't it be routed through one time vendor account
    issue a check to one time account & later in FBCJ do a receipt from the same one time account. So you dont have to create a sepreate check lot for cash journal.
    One time account has to be cleared manually.
    You dont have to use check related transaction to create the checks sepreately,
    Hope this solves your issue.
    Revert if not solved in detail.
    Thanks,
    Chandu
    Message was edited by:
            Chandu

  • Document type for Cash journal

    Hi,
    What is the document type used for cash journal document at the time of Configuration.
    Regards,
    KRishna

    Nornaly in Cash Journal following document type used. But you can use document type as per your requirement.
    Document Type: G/L Accounts AB
    Document Type: Vendor Outgoing KZ
    Document Type: Vendor Incoming KZ
    Document Type: Customer Incoming DZ
    Document Type: Customer  Outgoing  DZ

  • Profit Center for Cash Journal

    Hi Guru,
                 how to default the profit center  in cash journal wise  in FBCJ or else any alternative way to make to profit center default in cash journal.
    Thanks and Advance
    Laxmi narayan

    Please assign default profit center for the GL account defined for Cash journal.
    This will resolve your issue.
    - Kiran

  • Badi or user exit for Cash Journal

    Dear friends,
    As I am not able to post a special GL transaction through cash journal, i request you to help me for a badi or user exit which may be available for cash journal.
    Regards
    Dhirav shah

    Hello Ajeshi,
    below are the user exit available for fb02 transaction code.
    Exit Name           Description
    F050S001            FIDCMT, FIDCC1, FIDCC2: Edit user-defined IDoc segment
    F050S002            FIDCC1: Change IDoc/do not send
    F050S003            FIDCC2: Change IDoc/do not send
    F050S004            FIDCMT, FIDCC1, FIDCC2: Change outbound IDoc/do not send
    F050S005            FIDCMT, FIDCC1, FIDCC2 Inbound IDoc: Change FI document
    F050S006            FI Outgoing IDoc: Reset Clearing in FI Document
    F050S007            FIDCCH Outbound: Influence on IDoc for Document Change
    F180A001            Balance Sheet Adjustment
    FARC0002            Additional Checks for Archiving MM Vendor Master Data
    FEDI0001            Function Exits for EDI in FI
    RFAVIS01            Customer Exit for Changing Payment Advice Segment Text
    RFEPOS00            Line item display: Checking of selection conditions
    RFKORIEX            Automatic correspondence
    SAPLF051            Workflow for FI (pre-capture, release for payment)
    but i fill your problem can be solve using function exit FMRESERV and specifically 'EXIT_SAPLFMR4_002' function module. change the field xblnr from t_accit table.
    I hope this will slove your problem.
    Regards,
    Vikash

  • Assign Customized Sapscript in place of the standard one for CASH JOURNAL

    Dear All,
    I created Customize Sap-script at the place of standard one in FBCJ (Cash Journal) , Please let me know the procedure to assign customize form at place of stancdard one.
    Thanks & Regards,
    Rajnarayan

    Hi,
    correspondence type for Cash Journal is SAP18.
    The program attached in SAP18 is RFKORD80 (SPRO-Financial Accounting Global Settings (New)-Correspondence-Assign Programs for Correspondence Types). If you want you can modify driver program also by creating z. attach it to correspondance type SAP18.
    For the above program you can assigned your customized script in the below navigation path:
    SPRO-Financial Accounting Global Settings (New)-Correspondence-SAPscript-Based Forms-Define Form Names for Correspondence Print.
    Hope this helps you.
    Regards,
    Azeem.

  • Different no range/doc. type for cash journal incoming/outgoing payment

    Hi all,
    I am going to set up cash journal for a customer and they want separate number range for incoming and outgoing payments.
    I have read on this forum and actually don´t understand if that´s possible.
    If I set up two different cash journals (one for outgoing payments and one for incoming payments) the problem is that I can call all transaction type (C, B, R, E, set in transaction FBCJC2) from both. I have a cash journal for outgoing payments where I have set a separate document type and number range for G/L accounts in transaction FBCJC0 and the same for vendor outgoing payment and customer outgoing payment, but no document type for incoming payments from vendor/customer.
    When I then start to use this cash journal for outgoing payments I can´t make outgoing payments if I don´t have any money in my cash journal. Then I have to take money from my housebank by business transaction type C (receipt from bank) set in transaction FBCJC2. This becomes an incoming payment, but I got the same number range as for outgoing payments because I am in that cash journal and that number range is set per G/L account transaction per cash journal. .
    How can I come around this problem?
    Thanks in advance!
    Best regards Lisa

    Hi Pravin,
    Sorry for late answer. I created three document types, one for customer, one for vendor and a third for G/L postings. It was not possible to do in another way, sorry.
    Best regards Lisa

  • Setting for Cash Journal Transactions

    Hi all,
    Can someone tell whether the Vendor Line Item clearing and Special GL Transaction is possible in Cash Journal.
    For example -
    1. when we are giving the Advance in Cash to our employees, whether such entries can be posted with Special GL indicator ( as we do in Bank Payment thru T Code - F-48 )
    2. Currently, when we are posting cash payment in Vendor Account ( thru Cash Journal ) , we need to first transaction in vendor account and then for clearing a open item against it , we need to use the T code - F-44 for manually clearing the open items. Is it possible to clear the same while posting Cash Vendor posting ( just like Bank Payment thru F-53 ).
    If you have solution pls let us know.
    Thanks
    ps

    Hi PS,
    Both the functionalities are NOT possible through the cash journal.
    If you pay your vendor by cash, you have to clear the vendor open item seperately.
    Also, splecial GL transactions are not allowed in cash journal.
    Regards,
    Mike

  • Business Area validatin for cash journal

    Hi Experts,
    I have 4 Company codes, Each company code is having 5 business aras.
    Accourding to Our client Requirement Cash journals are created as per business area wise. Now I want to validate the cash journal for particular business area.
    C.Code 1000
    Business areas 1000,1001,1002,1003,1004
    Cashjournals 1000,1001,1002,1003,1004
    the csh journal 1000 should allow business area 1000, if we enter any other business area , it should show the error,
    Please give the solution, it is very helpful for me.
    Thanks and regards
    Ramu

    Dear Pradeep
    Please Can you give me more details on this validattion,
    Regards
    Ramu

  • BAPI for Posting Journal Entries

    hi,
    I need a BAPI or IDOC for Posting Journal entries. It should have the following values at header level.
    1. Header Text
    2. Doc Type
    3. Journal Type
    4. Posting Date
    5. Doc date
    6. Rev reason
    7. Reversal date
    At line item level it should have following values:
    company code
    material type
    material origin group
    Profit center
    SKF value
    Inventory Balance
    Thanks,
    Payal

    Hi,
    U can use BAPI_ACC_DOCUMENT_POST
    is there any particular txn for which u r looking bapi?
    thanks
    RK

  • Any BAPI for PCA Journal

    Hi,
    Any BAPI is their for PCA Journal(Tcode 9KE0).
    regards
    Muthappan

    I don't see any documentation. You may have to hack the code.
    Or raise an OSS message.
    Rob
    Message was edited by:
            Rob Burbank

  • Restriction user wise for cash journal

    Hi All,
    We have three cash journal for three different units within the same company code. Now we have a bug that any user can post to any cash journal.
    How to restrict the cash journal to a particulaar set of users.
    Regards,
    Nand

    Hi,
    When you customiza the cash journal in FBCJC0, you have a column "Authorization Group" which is freely definable alphanumeric field.
    You enter some unique text here, and then your BASIS team can assign this authorization group to the user master of cash journal user.
    That way user will be authorized to process only those cash journals which are linked to his authorization group.
    Regards,
    Gaurav

  • Authorisation for Cash Journal according to profit center

    Hi all,
    In my project i'm mantaining 11 cash journals.I want such authorisation in CASH journal so that if i open cash journal of one place then i'm nt able to open /watch other location cash book.
    thanks
    Deepa

    Hello Deepa,
    When you are setting up cash journal in IMG (T code: FBCJC0), you have provision to give authorization group in the same in the column named Grp (group) after cash journal name.
    In this you can specify the group ID as per your requirement and enter the same in role assigned to relevant user for performing cash journal functions.
    For e.g.  You have created cash journal CJ01 and CJ02 for profit center PC01 and PC02 respectively. While setting up cash journal, in group column you can enter group id as PC01 and PC02 for CJ01 and CJ02 respectively.
    Group ID which you have assigned shall be mentioned in role for performing cash journal functional which is assigned relevant profit center's end user id;s.
    Regards,
    Nagaraj

  • Additional Fields for Cash Journal Print Layout

    Hi All
    Is it possible to add a new field before printing the cash journal. My requirement is to add the FI Document Number Field to the screen layout before the printing the cash journal transactions. Please advise the procedure to this field.
    Thank you
    Ravi

    Hi jain,
    in fbcj: cahs payment /cash reciepts  that tabs is there right???
    in right side last  you can find out  CONFIGURATION Button,  click on that
    Select administrator  you can setup visible or invisible
    assing points if useful....
    regards
    lakshmi
    Edited by: lakshmi on Jun 17, 2008 1:43 PM

  • BAPI for Cash Flow of TM02

    Hi, experts
      Which BAPI or Function Module can change the field 'Pymnt amt PyC(+/-)' of Cash Flow tab
      in the tcode 'TM02'?
      Thanks you very much!

    HI
    these are BAPI's
    BAPI_FTR_CFT_CREATE Create Cash Flow-Dependent Transaction
    BAPI_FTR_CFT_CHANGE Change Cash Flow-Dependent Transaction
    BAPI_FTR_CFT_FLOW_CHANGE  Change Financial Flow
    BAPI_FTR_CFT_FLOW_CREATE Create Financial Flow
    BAPI_FTR_CFT_FLOW_DELETE  Delete Cash Flow
    What do you want do you want BADi or BAPI
    Regards
    Pavan

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