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

Similar Messages

  • How do you create Busines transa in cash journal ex. in Business transactio

    Hi experts,
    I have one problem ie.How do you create Business Transaction in cash journal example in Business Transaction.
    with Thanks,
    Devendra.

    Hi,
    To create business transaction for Cash Journal, use Tcode FBCJC2. Its a configuration activity.
    From 4.7 onwards SAP does not allow the creation of business transaction directly from cash journal.
    Regards,

  • Error in posting to cash journal

    Hi All,
    I've been trying to post to a cash journal that was just created but an error would always show and the information does not say how I can resolve the issue. Please see below message and advice as to how I can resolve this.
    E: GL 6007000 not valid to Cost center CC0001 (Adm Cost Centers)
    Message no. Z_COST_ELEMENT003
    Thank you!

    Hi
    Its a Z message, means your own creation... Go to OB28 and switch off the validation written for this GL & Cost center
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  • Assignment of GL Accounts  to Cash Journals

    Dear SAP Gurus,
    I have a problem in Cash Journalas follows.
    1. 3 Cash Journals opened for  3 branches in one company code and assigned one GL accounts for each location / branch and shown the opening balances.
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    Hi,
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  • Cash Journal - Reimbursement

    Good day to all.
    I am setting for the first time cash journal, as did all the settings and did some tests, but I have a very big question.
    I have to create a movement for reimbursement of money to the company.
    That is:
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    Hi Atif
    I already created an Employee, but I don't know which moves shoul i created in cash.
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  • Cash Journal to create or not

    What are the advantages if we go for cash journal concept.  If not what will be the disadvantages.

    Advangaes:-
    1.You can view your cash position at any poin of time.
    2. You can know all the cash transactions in a particular day
    3. You can drill down to the document level
    4. You can know how mutch cash you have recived & paid during a day
    5. You can create no of transaction type in SPRO which can be easily used by a non accounting person.
    Regards,
    Alok

  • BAPI or Function Module for FBCJ Posting of Parked Cash Journal Entries

    Hi Experts,
    A blessed day.
    We have one requirement that requires the creation of Batch Program that will post all the outstanding (status is set in yellow) Cash Journal Entries in transaction FBCJ.
    Hereu2019s the issue, to satisfy the requirement, we either use BDC/Call Transaction OR use a Function Module/BAPI. 
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    The problem with using BDC/Call Transaction is that it should incorporate line item selection of the cash journal entries, which I havenu2019t tried yet.  Iu2019m not sure if this is possible and if itu2019s possible, how much complexity will it incur.
    If you have the availability, would it be possible if you can help us explore on the potential solutions for this requirement?
    Thanks so much.  God bless!
    Cheers,
    ianne

    You can use RFBIBL00 program for FB01 postings. Go through the program help on how to use this program.
    This program requires a file to be on application server in a certain format.
    You may also refer the program RFBIBLT0 on how the file format should be.
    Hope this helps.
    Thanks,
    SKJ

  • Function Module: to get Cash Journal Entries and Balances

    Dear Guru's,
    We need to develop a function module to display cash journal opening balance line item entries and closing balance of specific period.
    we have found document entries through table TCJ_DOCUMENTS or TCJ_POSITIONS now require help to generate opening and closing balances.
    Please help for the solution.
    AAR

    Hi,
    check FM FCJ_GET_DATA_FOR_SCREEN. Next time you can try to figure out by yourself. The program for transaction FBCJ is not that complicated and you can easily find this FM used there.
    Cheers

  • Print Cash Journal

    When I print cash journal it does not display Cash Journalwise Opening and Closing Balances. It displays the Op. and Clg. Balances for the entire Company Code. How we can see the balances for each Cash Journal.

    Hi,
    At tr.code FBCJC3 you can set up the printing program for each company code. It's better to use print.program RFCASH20 without a variant.
    If you find the answer useful, please assign reward points.
    Regards,
    Svetlin

  • Cash Journal Day wise Closing Balances Report

    Dear Seniors,
    There is a requirement to have the details of all Closing Balances of Cash Journal.  Is there any table which stores this data or any other method to get this information.
    Regards
    KVKR

    Friends,
    Got the solution.
    We need to enter
    FI_CASH_BB_*       Text for the opening balance
    FI_CASH_CF_*       Text for the balance carried forward
    FI_CASH_EB_*       Text for the closing balance
    FI_CASH_SI_*       Text for the signature line
    Thanks for the help.
    Regards

  • 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

  • Tax Code field in Cash journal

    Dear All,
    Can Tax Code field be activated in Cash Journal . If yes how? Useful answers will be rewarded with points.
    Regards
    Milind Nair

    Hi
    Goto FBCJ, it will have two segments, one is the header data and other is the line item data.
    In the Line item segment where you enter the line item details, go to the right hand side corner of the Table. You will see a small icon with colours. This icon is present at the Top right hand corner of the line item entry table in FBCJ.
    Click on this ICON, this is the administrator icon. Then click on administrator, then you can see list of field names, there will be a check box called invisible. For the fields TAx code and juristiction it will be marked as invisibel. remove this tick and activate and save the parameter.
    Afterwards you will get the required fields in FBCJ.
    If you have problem when you click on the icon, then it is a authorisation problem so contact your Basis resourse for necessary action then do the changes as required.
    Cheers
    V.Krishnan
    (Assign Points if Useful)

  • Error while deleting Cash Journal (Numbering group 1001 can be used only for one CoCd and cash journal number)

    Hi,
        While i am try to delete Cash Journal system throws me error (Message No.:FCJ065: Numbering group 1001 can be used only for one Co. Code  and Cash Journal). Kindly provide me solution on that.
    Regards,
    Tarak

    Hi Tarak,
    You can use the config nodes in SPRO to set up number ranges for your cash journal documents.
    IMG Path> FI Global Settings>Bank Accounting>Business transactions>Cash Journal
    Define Number Range Intervals for cash Journal documents
    Define Numbering Groups
    Define Number Ranges for numbering groups
    After defining the number group here, you assign that in "Set up Cash Journal" Check if there is any clash anywhere in your configuration for different cash Journals.
    Regards,
    Kavita

  • How to Restrict Business Transaction Types in Cash Journal

    Dear All
    I need to Restrict Business Transaction Types in Cash Journal based on Exp/Revenue Types . Is there nay solution of this problem and one more thing i need to disable/hide Cash Hournal Tabs for specific User.
    Full point will be awarded.
    Thanks

    hi
    the follwoing links may helpful to you for cash journal configs.
    http://help.sap.com/bp_bblibrary/500/documentation/N70_BPP_04_EN_DE.doc
    http://help.sap.com/saphelp_erp2005/helpdata/en/a5/e9d13973da1f60e10000000a114084/content.htm
    http://www30.sap.com/japan/businessmaps/690A1366EABD4B029F9F9CB727553B61.htm
    nagesh

  • Use of cash journal for down payment to venor through spical G/L indicator.

    sir,
    Actually we want vendor down payment to vendor or from customer through special G/L indicator from Cash journal..

    closed

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