Cash journal amount limit

Hi,
We are setting up the cash journal and one of the items to customize is the Amount Limit. We set up an amount limit, however the system does not validate the amount when entering or posting documents in the cash journal, Someone knows what is missing or what could be the problem ?
Thanks !

Yes, the validity date is ok... : 01.01.2007, any clue ?

Similar Messages

  • Account description not shown in cash journal

    hi
    when i am looking the cash journal report in S_P6B_12000118 than i am not able to see the respective GLs  from which i have done entries. how can i see the GLs , so that i can do proper reporting or there is any other way to check it

    Dear
    You can develop your own query(t.coide SQVI) by joining the following requisite tables based upon the requirement.  The following cash book tables especially TCJ_DOCUMENTS and  TCJ_POSITIONS and TCJ_TRANSACTIONS mostly have the data you need.  Just check up and after you feel satisfied with the output of the query a t.code can be developed by your abaper.
    TCJ_BALANCE FI Cash Journal: Totals Records
    TCJ_C_JOURNALS Cash Journals
    TCJ_CHECK_STACKS Check Lists in Cash Journal
    TCJ_CJ_NAMES Cash Journal Names
    TCJ_CPD FBCJ: One-Time Account Data of Cash Journa
    TCJ_DOCUMENTS Cash Journal Documents (Header Data)
    TCJ_MAX_AMOUNT Cash Journal: Amount Limit
    TCJ_POSITIONS Cash Journal Document Items
    TCJ_PRINT Cash Journal Print Parameters
    TCJ_TRANS_NAMES Cash Journal Business Transaction Names
    TCJ_TRANSACTIONS Cash Journal Business Transactions
    Regards

  • Cash Journal Tables

    Dear all.
    I want to contribute some table information for Cash Journal for all user's reference.
    Please find the same.
    TCJ_BALANCE :-                     FI Cash Journal: Totals Records
    TCJ_C_JOURNALS:-                 Cash Journals
    TCJ_CHECK_STACKS:-               Check Lists in Cash Journal
    TCJ_CJ_NAMES:-                   Cash Journal Names
    TCJ_CPD:-                               FBCJ: One-Time Account Data of Cash Journals
    TCJ_DOCUMENTS:-                  Cash Journal Documents (Header Data)
    TCJ_MAX_AMOUNT :-                Cash Journal: Amount Limit
    TCJ_POSITIONS:-                  Cash Journal Document Items
    TCJ_PRINT:-                      Cash Journal Print Parameters
    TCJ_TRANS_NAMES:-                Cash Journal Business Transaction Names
    TCJ_TRANSACTIONS:-               Cash Journal Business Transactions
    TCJ_WTAX_ITEMS:-                 Withholding Tax Items for Cash Journal Document
    Thanks & Regards,
    Pankaj.
    Edited by: pankaj_ab on May 29, 2009 2:02 PM

    Nice of u pankaj B.

  • Cash journal Back dated entry it' s allowed to 300.00 only.

    Dear Experts,
    When i try to post cash journal Back dated entry it' s allowed to 300.00 only. for example I want to post one expenses in 6th month 1200.00. But 6th month closing balance is 16675.00. then also it's shown error Payment amount is larger than cash on hand. Change amount. and i try to post 300.00 it's accepted.
    this problem is not even 6th month all Backdated entry
    Please suggest me..
    Regards,
    Krishna.v

    Dear Krishna.v,
    The error message mentioned by you i.e. Payment amount is larger than cash on hand which is message number F5A055 is to make sure the balance for cash jounal is always positive.
    There is no restriction of 300.00 etc..Ofcouse there is a restriction to ensure that CJ balance is positive.
    The system behaviour is explained in detail in note 430397. So as explained in the note, the system checks the new daily closing balance resulting from the reversal transaction for all days following the posting date up to the current system date.
    It is not therefore sufficient to have a sufficiently large closing balance at the posting date, but the balance must be sufficient for this payment or reversal of the receipt on all following days.
    Therefore, you must check the closing balance on all days following the posting date up to the current system date and take existing cash receipts into account if required.
    In the cases like, when a document is saved, the actual document is generated and stored in the cash journal tables TCJ_DOCUMENTS and TCJ_POSITIONS. So the BALANCE of the cash journal is updated.
    Therefore even a document which is not posted but saved is also considered in the balance of cash journal.
    I will try to explain you what does the note refer to with an example
    Imagine you have the following situation:
       Initial Cash Journal Amount 01.01.2011   100,00 USD
       Customer payment              02.01.2011  +200,00 USD
       Balance at                           02.01.2011   300,00 USD  ok
       Vendor payment                 03.01.2011  -150,00 USD
       Balance at                           03.01.2011   150,00 USD  ok
       Incoming payment               04.01.2011  +500,00 USD
       Balance at                           04.01.2011   650,00 USD  ok
    This is ok, but if for example, the user needs to reverse the customer payment made on 02.01.2009. As you can see, the balance at 02.01.2011 is 300,00 USD so from the user point of view, the document can be reversed without any problem. However, system will give you the error message F5A212. Why? Because if you reverse the document on 02.01.2011 the final balance at 03.01.2011 will return -50,00 USD and this is not correct.
    This is explained:
    "Check the closing balance on all days following the posting date up to the current system date and take existing check receipts into account if required."
    Hope this example helps you to understand the system behaviour.
    After implementing the note 1051847, if the system generates error message, it now specifies the date on which the negative balance would arise which would help you to take necessary actions based on that.
    Best Regards
    Soumya

  • Cash Journal table values TCJ_MAX_AMOUNT amount limit not working

    Hi Experts,
    I have setup cash journal modules in SAP, client has the requirement that upto certian limit user should process payment from cash journal e.g. USD 500
    I have setup below entries in table  TCJ_MAX_AMOUNT but noticed that user can still process payment above USD 500
    Company Code: 0011
    Currency: USD
    Valid From: 01.01.2011
    Amount: 500
    Looking for assistance
    Thanks

    Dear Sanil,
    I tried earlier below validation but found that this works only when document posting level. But I am looking for solution at save level in cash journal
    Prerequisite
    SYS-TCODE = "FBCJ" AND BSEG-SHKZG = "S"
    Check
    BSEG-DMBTR <= '500.00'
    any other options?
    B/R
    prashant rane

  • Cash Journal : How to set the limit for maximum payment of 20000

    Hi Gurus,
    Please tell me how can i set the maximum payment limit of 20000 in cash journal?
    Please revert asap.
    Thank You

    Hi
    Amount Limit
    Use
    You use these functions to define limit values for the FI cash journal; where these limits are reached and exceeded, the user is prompted (in an information dialog box) to run certain activities. The check is always performed in the first local currency of the company code.
    In the countries of the European Union, these functions are used to draw attention to the legal requirement for identifying the payer (money laundering law § 3 para. 1).
    Activities
    Company code:
    You do not have to enter a company code. The entry is then valid for all company codes within a client that use the currency specified as the first local currency.
    Currency:
    Each amount must be specified by the classification of the currency. If you specify a company code, the currency of the company code is entered in the currency field and you cannot change this.
    Date and amount:
    The amount limits are defined time-dependent ("Valid From").
    In addition to the above
    Input your company code,Currency,Valid from and the amount limit
    Good Luck
    Hari

  • Cash journal, cash limit

    Dear Experts,
    Is it possible to limit cash payment in cash journal, where we need to maintain the limit for cash journal?
    Regards
    babu

    Hi,
    The cash journal based amount limit you can maintain in S_ALR_87009222
    But if you want to restrict only the payments to a particular amount, then you need to create a validation at line item level in OB28
    Regards,
    Gaurav

  • Cash Journal : Error "Inconsistent amounts" during a line items reversal

    Dear Experts,
    i have posted a line item in Cash Journal.
    now when i m trying to delete/reverse it, i m observing a error "Inconsistent amounts" that leads to a ABAP dumb "FMGL_CHECK_PERIODS_REV_REAL" i have dowloaded & applied a note from SAP 1247225, but could not fix the error.
    please advice & help me out.

    Hi Hussein
    In addition to the application of the note using SNOTE
    you would also need to perform the following manual steps (configuration)
    Call transaction SM30 and change the following entries in the table TRWPR:
    PROCESS  EVENT    SUBNO COMPONENT KZ_BLG FUNCTION
    DOCUMENT PREREV  190   EAFM             FMGL_CHECK_PERIODS_REV_REAL
    becomes
    DOCUMENT PREREV  190   EAFM             FMFA_CHECK_PERIODS_REV_REAL_CK
    DOCUMENT REVERSE  065  EAFM             FMGL_CHECK_PERIODS_REV_REAL
    becomes
    DOCUMENT REVERSE  065  EAFM             FMFA_CHECK_PERIODS_REV_REAL
    Regards
    Sach!n

  • Total amount in Cash Journal printout is different

    Hi Gurus,
    When we print the cash journal, the total amount field is not showing the total amount. It is showing first line item amount as total amount. How to fix this issue. Pl help.
    Thanks.
    Irene

    Hi,
         Go to FBCJC3 transaction 1. SO10, open necessary text for editing.
    2. Menu Insert - Symbols - Program symbol.
    3. Select program RFCASH00 (or add it in the list)
    4. Press DDIC fields.
    5. Select RFCASH (double-click) and then SALDO. Also there are other fields, like cash journal currency.  OR
    use opening and closing balance like in program RFCASH20.
    Regards
    Sridhar

  • Configuration to fix the amount in cash journal

    Hi group Members
    Is their any configuration to fix the amount in Set Up Cash Journal
    (Petty cash Journal a/c)
    Regards
    shamulheq

    Thank You Mr Arvind its working fine  for Cash Receipts To fix the validation check for payment not exceeding 500 for each transaction ( cash payments)
    I made 2 different validation for Cash payment pleas check the below steps if am wrong, do correct me . steps are not supporting
    1.Prerequiste
    SYST-TCODE = 'FBCJ' AND BSEG-BSCHL = '50' AND (
    BSEG-HKONT = '102700' )
    Check
    BSEG-BUALT <= '500.00'
    In message
    Variables
    1.BSEG - BONFB
    2.BSEG-SAKNR
    3.BSEG-BSCHL
    2. SYST-TCODE = 'FBCJ' AND BKPF-BLART = 'SK' AND
    BSEG-BSCHL = '50' AND (
    BSEG-HKONT = '102700' )
    Check
    BSEG-BUALT <= '500.00' AND BSEG-BSCHL = '50'
    In message
    Variables
    1.BSEG - BONFB
    2.BSEG-SAKNR
    3.BSEG-BSCHL
    Your support & guidelines will help help me to fix this issue
    Regards

  • Cash journal - suspense amount

    Dear experts..
    In our scenario u2013 client doing the transactions in cash journal as follows
    At the time of paying cash to any employee (the purpose may be for travelling from one place to another business place or to meet any expenses like stationary, printing etc..) without knowing the purposeu2026. They are giving one slip to the employee and employee filling the details like --- amount received, his ID, date and time etcu2026
    And accounts clerk put this u201Ccash slipu201D in the cash box and they are treating the same as cash issued. Here physical cash at hand at this point of time is
    = opening balance u2013 (known expenses met + cash outflow according to slips issued above)
    The amount issued based on u201CCash slipu201D is treated as suspense amount.
    Dear friendsu2026 how to manage these in Cash journal SAP
    Dasu

    Hi
    There are two ways to handle this process:
    1. Scenario -1 Payroll is implemented
    You need to assign a suspense account  for cash journal in T Code FBCJCJ2. In this case the accounting entry that would be generated would be
    Clearing Account Dr
        To Cash in Hand
    Then when you settle the claim through payroll assign the same clearing account, which would then be credited. The accounting entry that would be created would have the personnel number field also populated.
    2. Scenario -2 Payroll is not implemented
    Create all employees as vendors in the system and process the Transaction through cash Book
    Regards
    Sanil Bhandari

  • Cash Journal Branch creation concept

    Dear Friends,
    Can any one please explain about the Petty cash in sap.
    I did the set up in petty cash like creation of Branch account.
    Please help me to understand the actual concept of petty cash in sap. how its works in the system.
    Thanks in advance.
    Regards,
    Mahendra

    Hi,
    Concept of Cash Journal:
    You can use the cash journal to manage cash transactions in your company. You can post cash receipts and cash payments, print receipts, and print out a cash journal. The cash journal in the R/3 System is a subsidiary ledger, which contains documents that are transferred from the cash journal to the general ledger in SAP FI. A cash journal is kept in one currency.
    The cash journal does not include functions for accepting and depositing checks.
    Each cash journal is assigned a G/L account to which the documents in the general ledger are posted.
    When a posting is made to a cash journal, the documents with the following document types are posted:
    Business transaction                                   Document Type
    G/L account postings                                      AB
    Vendor: incoming/outgoing payments     KZ
    Customer: incoming/outgoing payments     DZ
    You can create your own business transactions that have to be posted. In the cash journal transaction FBCJ, you can create, change, and delete business transactions.
    We can provide the following business transactions for cash journal accounting:
    Business transaction type
    E = Expenses
    D = Customer posting
    K = Vendor posting
    B = Payment to ICBC bank account
    B = Payment to BOC bank account
    C = Payment from bank account
    C = Payment to bank account
    R = Revenue
    Cash Journal Configuration steps:
    1. Create GL Account for Cash Journal (Post Automatically): FS00 or FS01
    2. Amount Limit: Path: IMG/FA/Bank Accounting/Business Transactions/Cash Journal
    3. Define Document Types for Cash Journal Documents - Tcode: OBA7
    4. Define No. Range Intervals for Cash Journal Documents- CJC1
    5. Set up Cash Journal - Tcode: CJC0
    6. Create, Change, Delete Business Transactions - Tcode: CJC2
    7. Set up Print Parameters for Cash Journal -  CJC3
    8. Cash Journal Posting : FBCJ
    Hope this helps you,
    Regards,
    Kannusamy S

  • Setup of cash journal

    Hi,
    Please tell me Tcode for doing Setup of cash journal.
    Regards,
    Swetha

    Hi,
    spro>>financial accounting>>bank accounting>>Business transactions>>cash journal
    You need to carryout the following steps under this path.
    1.Create GL a/c's for cash journal
    2 Amount limit
    3.Define document types for cash journal
    4.Define no.Range for cash journal (fbcjc1)
    5.Setup cash journal (T.Code: FBCJC0)
    6.Create,change,delete business transactions(FBCJC2)
    Hope this information is sufficient to configure cash journal.
    You can execute the cash journal transaction through t.code:FBCJ
    all the best
    Prasad

  • Difference in Cash Balance in Cash Journal and Cash GL Account

    dear friends,
    Can somebody tell me the reason and solution to following problem -
    1. User entered on Cash Payment ( FBCJ ) entry for Vendor with TDS activated.
    2. Due to some mistake in amount , he reversed the same ( FB08 ) , however amount reversed in Cash GL and TDS GL was wrong / was not same as per original document.
    3. Since it give the rise to difference in balance of Cash as per GL Account and Cash Journal , we passed 2 more entries ,
    1. FBCJ  - Cash Receipt ( for differential amt )
                          Cash Journal .... Dr. ....
                                    To intermediate account
    2. F-02 - Journal entry - for differential amt.
                          Intermediate account .....
                                        To Cash GL Account
    However still problem persists. Can anybody find out reason and solution for this.
    Thanks....

    Hi P S,
    Firstly, In cash journal the entries flow FI-BL (Bank Accounting - Sub-module) to FI and gets updated in GL Account.  That is why in the GL master master record of cash journal account, you see the "Post automatically only" option ticked. 
    The solution for you problem is that
    1. First reverse the f-02 entry by fb08. This will reverse the entry which has effected only FI-GL.
    2. Go to cash journal wrong (original) entry (FBCJ) and select the entry and delete the transaction through delete icon on left hand bottom.
    3. This will reverse the entry in FI-GL.
    4. Pass fresh entry in FBCJ with correct amount.
    Hope this will help you... Pls assign points if helpful.
    Regards,
    Vinay

  • Advance through cash journal to vendor( through t.code F-48)

    hi SAP guru,
    i am getting error while makng advance payment through cash journal t. code-f-48
    "payment amount is larger than cash on hand ,change amount"
       though i have sufficent cash balance even it is showing this error.
    total available cash balance=rs 2,35,000 ans we are making advance of rs 2,00,000. getting above error but when we are making payment of Rs 1,00,000 it has posted and again we made another posting of rs 25,000 it also posted. but remaining(Rs 75,000) we cant post advance to the vendor.
    our  Petty cash A/c  amount received  from head office through inter bank transfer.i have ceck all receipt no any receipt is park, all receipt are fully posted so there is no any question of less balance.apart from this i also chek tables of cash journal which automatically updated when cash received from head office.tables are 1.TCJ_position
    2.TCJ_documents
    3.BSIS
    4.BSEG
    5.BSIA
    6.BSAS.
          the cash balance which are showing under fbl3n,FBCJ same are showing under above when i saw it in production through BASIS consultant.it means all cheques are fully posted.
                 one thing i want to tel you that l we are making this transaction for the month of 31st may 2010 not for today i.e 04-03-2011.because earlier we are using Tally now all previous transaction of tally are mapping into sap.
        so, i want to inform all of you that this is back day posting in the month of        31st   MAY 2010, so above balance  of rs 2,35,000 standing in cash journal on this date.and we want to pay advance cash on this date i.e 31st may 2010.
      before 31st may 2010 imean on 30-05-2010 we have only cash balance of rs 35,000.
    and we received cash from head office on 31-05-2010 of rs 2,00,000 and we have to make advance payment of rs 2,00,000 to a vendor on the same day.but when making advance of rs 2,00,000 CANT DO THIS.can anyone suggest? one interesting thing is when i reduced amount to rs 1,00,000 it posted again doing so by rs 25,000 it also posted but remaining rs 75,000 cant and getting above error-     
    "payment amount is larger than cash on hand ,change amount" though i have still rs 1,10,000. then why this is coming?

    Please check any future date documents are posted in system.
    that means if you are trying to post on 05.03.2011 for the amount 5000 and balance is 10000. But if there is any document posted on 06.3.2011 with amount 7000, system will not allow to post document on 05.03.2011 eventhough you have balance on 05.03.2011.
    Just check, It can be one of the reasons.
    Regards,
    Ganesh Lokam

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