Cash Journal Problem

Hi gurus,
When I post a cash journal (expenses) in last fiscal year i.e. 2006 it is getting posted. But when I click on that particular expenses item it is showing two accounting documents. 1 is for 2006 and another is for 2007which  is already posted with different amount.. why it is happening like this. The reference key in the header document are same for both the documents. Some times it is posting 1 profit center document  sometimes it is posting 2 profit center document. When we reverse cash such kind of document journal with reversal reason  05 what will be the impact. What is reversal reason 05?
Thanks in advance.
Regards,
Vikas.

please check your number ranges assigned to document type SK cause the reference key used while posting to FI doesnot contain a year key thats why two document has been displayed
reversal reason 5 is reverse the acruals and deferals

Similar Messages

  • SAP EHP5 Cash Journal Problem

    Hi All
    We have upgraded our system to EHP 5 and now while trying to post Customer receipts in Cash Journal FBCJ
    when user is trying to make an entry with business area system gives the below message
    Account has been changed Should all account
    assignments be deleted in business transaction
    RECEIPT FROM CUSTOMRS ?
    this is a new message and was never observed before upgrade to EHP5 i am not able to identify the reason
    Has any one an idea for this message
    Will appreciate your help
    Bilal

    Hello Bilal
    We have recently upgraded our System to EHP5 Higher release.
    We also suffered in the problem as you mentioned.
    Please procceed the "SAP Note 1615150 - FBCJ: Incorrect account assignment query" for your problem.
    If problem not solved you can contact me directly,  and don't forget to reward points!
    Cheers!!!
    Anwer Waseem
    SAP NetWeaver TTL

  • Cash journal posting problem

    Hi guys,
    We are facing a typical problem with cash journal posting using transaction code fbcj.  It is showing the error message as Tax-code is not defined for jurisdiction code.  Where do we make these settings?
    Please help me out
    chintu

    Hi,
    Goto SPRO path as below and define Jurisdiction code
    Financial Accounting (New) -Financial Accounting Basic Settings (New) -Ledgers
    Global Parameters for Company Code -Document -Tax on Sales/Purchases -Basic Settings -Check Calculation Procedure -Assign Country to Calculation -Procedure -Check and Change Settings for Tax Processing -Specify Structure for Tax Jurisdiction Code -Define Tax Jurisdictions
    Rgds
    sunfico

  • Problem in printing receipt cash journal

    HI,
    I am trying to print receipt through cash journal but when i click on receipt button system gives error message "Variant SAP18 does not exist for program RFKORD80" .
    In set up print parameters for cash journal i have assigned cash journal print program "RFCASH20" and correspondence "SAP18"
    Request immediate help.
    Thanks in advance.
    Manisha

    Hi Manisha,
    Please run the program RFKORD80 and execute it.
    Now enter SAP18 by executing.
    Regards,
    Jigar

  • Cash journal splitting problems

    Dear experts,
    I can't understand cash journal splitting principles and how does it work. Because documentation in help.sap.com is very poor about this.
    I have entered one line item in FBCJ, and then press on "Split" button. System shows me splitting screen and there I see my just entered line item with all my account assignements. I don't want to add more line items for splitting, so I press on the button "Copy". And nothing heapens!!! After document posting to general ledger I don't see (in document General Ledger view) account assignements to Cash Journal line item... (!!!)
    What I am doing wrong?

    Hi
    The spiltting functionality in FBCJ is for posting more than one line item,
    Say for Exapmle for a employee vendor we have to pay Travel expenses,Medical Exp and so on, this point of time the splitting functionality is being used.
    Once you click on the split it will show you only one line item in edit mode and the others will be in display mode but once you complete enetring one line item and press enter the other line item will become in edit mode and so on.
    Hope this helps you..
    Good Luck
    Hari

  • Problem in reversing cash journal document

    Hi,
    I have posted one cash receipt customer document in cash journal (FBCJ). Now i want to reverse that document system gives error message " document can not be reversed since it was already printed". Please suggest how to reverse that document.
    Request immediate help.
    Thanks in advance

    Hello,
    There is only one way to make reversal after you printed cash journal document: implement SAP note 359656.
    Read the instructions before you proceed.
    The note is cross-client, so you will have to implement it in development client and transfer to productive client with transport request.
    Reagrds
    Amina

  • Printing problem in cash journals

    Hi Guru's
    While printing cash journals its comming earror like dis...
    For spilt postings: Repace RFCASH00 with RFCASH20 ( no variant)
    EVen i copy print paremeter from Standard one 0001.
    plz give me solution......
    regards
    SS.

    Hello
    Maybe config needs to be reviewed.
    Check the config for correspondence / scripts / document types for reciepts & disbursements / print program and assignment.
    Reg
    *assign points if useful

  • 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)

  • 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

  • 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

  • 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

  • DIfference in closing and Opening Balance in Cash journal

    Dear ALL
    in facing problem in cash journal
    in my cash journal closing  balance showing Rs.2,10,200:00  04/12/2006
    where as opening balance is showing Rs.2,10,100:00 on 05/12/2006
    what could be the problem ?
    can any one  Explain
    Regards,
    choudary

    Please refer SAP note no.377853

  • How to create print document for payment to customer through cash journal

    Dear Sirs,
    I have a problem with print document from cash journal. I enter a payment to customer (when I turn the money to customer) and the system makes right posting, but when I try to print this point, system printing document for incom from customer. I'm using business transaction for customer posting in cash journal. I would like to know how I have to manage this posting - payment to customer, or incoming from vendor (returnes advances from emploee)?

    Hi,
    please check whether the two solutions below work:
    1. create a contract with milestone billing plan where there are only down payment billings, so that on the basis of the contract you can generate down payment requests and then relevant down payments, release the contract to a sales order which can then be delivered and billed, manually clear the billing document with the down payments
    2. from FI module, create down payment requests via t-code F-37 directly, and then down payment posting, generate sales order directly, and then deliver and bill, manually clear the billing document with the down payments

  • Cash Journal - S_ALR_87012309 - total containing

    Hi all,
    I need your help to do this:
    I'm using Tcode S_ALR_87012309 to print the cash journal;
    In the first selection screen " G/L account selection" i fill the field G/L account with 2 cash accounts, for instance 5311bm01 and 5311bc01.
    My question is :
    What should I do to obtain a summary containing - the total of  the opening balance and the closing balance of the two cash accounts ?
    Please help to solve this problem.
    Thanks .

    Dear Cincean,
    Please update the below details in S_ALR_87012309 Print cash journal report and you will get the opening and closing balance output as required.
    a) Chart of Accounts: Your chart of accounts. Example: INT
    b) G/L account: Mention cash related G/L accounts in ranges example: 1030900004 to 1030900005
    c) Company code: Example: 1000
    d) Key dates: From date to To date
    e) Currency: Leave it as blank as it will take all currencies
    f)  Tick Standard Documents checkbox
    g) Correspondence type: enter SAP18
    h) Tick Cash document checkbox
    i) Opening balance text: FI_CASH_BB
    j) Closing balance text: FI_CASH_BB
    k) Transfer text: FI_CASH_BB
    l) Title text: FI_CASH_BB
    j) List Variant: Select "2" for Germany
    k) Additional heading: Update your own headings and will be reflected in cash journal report.
    If you follow the above procedure, you will get the opening and closing balance of cash G/L account for the specified period.
    Hope this helps. Assign points if helpful
    Regards,
    Dwarak.

  • Cash Journal - S_ALR_87012309

    Hi all,
    I need your help to do this:
    I'm using Tcode S_ALR_87012309 to print the cash journal;
    In the first selection screen " G/L account selection" i fill the field G/L account with  2 cash accounts, for instance 5311bm01 and 5311bc01.
    My question is :
    What should I do to obtain a summary containing the opening balance and the closing balance of the two cash accounts ?
    Please help to solve this problem.
    Thanks .

    Dear Cincean,
    Please update the below details in S_ALR_87012309 Print cash journal report and you will get the opening and closing balance output as required.
    a) Chart of Accounts: Your chart of accounts. Example: INT
    b) G/L account: Mention cash related G/L accounts in ranges example: 1030900004 to 1030900005
    c) Company code: Example: 1000
    d) Key dates: From date to To date
    e) Currency: Leave it as blank as it will take all currencies
    f)  Tick Standard Documents checkbox
    g) Correspondence type: enter SAP18
    h) Tick Cash document checkbox
    i) Opening balance text: FI_CASH_BB
    j) Closing balance text: FI_CASH_BB
    k) Transfer text: FI_CASH_BB
    l) Title text: FI_CASH_BB
    j) List Variant: Select "2" for Germany
    k) Additional heading: Update your own headings and will be reflected in cash journal report.
    If you follow the above procedure, you will get the opening and closing balance of cash G/L account for the specified period.
    Hope this helps. Assign points if helpful
    Regards,
    Dwarak.

Maybe you are looking for

  • Submit by Email Button Trouble

    I have created a form fillable pdf with a Submit by Email button. The problem I am having is that some people I send this to fill out the form, click on the Submit by Email button and nothing happens. It doesn't work at all. Others have no problem wi

  • What do I need to do to transfer ownership of a used iPad to my account

    I was given an old iPad. I just want to be able to sync it with my ITunes. What do I need to do to transfer it over to me?

  • Multi-threaded JPG export

    The slowest portion of my application is the conversion from a generated INDD file to JPEG. More CPU power seems to be the only solution at this point, but because IDS is single threaded, 3 of the cores on the server sit idle during this. Is it possi

  • How to move 5.00-  to a character field.

    hi, I want to move the value 5.00- to a character field. when i use move i_in-value to char1.  (i_in-value = 5.00-) it is moving only 5.0 , i want the whole thing to be moved on to char1. can anyone help me on this. Thanks, Rose.

  • How to get variable from another class?

    I have 2 classes. In first I have int variable. In second class I need to get this variable value. How I can make it? import javax.microedition.lcdui.*; import java.io.*; import java.util.*; public class ChooseLessons extends Form implements CommandL